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Randstad CanadaSource d’offres vérifiée

Senior Treasury Analyst

Offre en anglais

Manage daily liquidity, cash positioning, and banking relationships while overseeing corporate travel and fleet programs. Drive process efficiencies using lean principles and automation tools to optimize treasury operations and ensure SOX compliance.

  • Sur place
  • Milton, ON
  • Publié 31 août 2026
  • Postuler avant le 30 sept. 2026
  • 1 poste

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Résumé du poste

Are you a dynamic finance professional who excels at managing daily liquidity, driving process efficiencies, and optimizing treasury operations? Do you enjoy solving complex cash management challenges, coordinating multi-faceted financial systems, and acting as a vital link between internal teams and global banking partners? Are you inspired by the opportunity to implement lean principles, leverage modern automation tools (such as Power Query and RPA), and oversee corporate travel and fleet management programs? If so, this role offers an exceptional opportunity to make a high-visibility impact across our regional operations while collaborating with an agile, high-performing finance team. Key Advantages Dynamic Scope: Gain broad exposure to treasury, corporate operations, vendor systems, and compliance in a multi-faceted position. Continuous Improvement: Work in an environment that actively values innovation, workflow automation, and lean accounting initiatives. Collaborative Culture: Join a supportive environment where integrity, professional growth, and cross-functional partnerships are prioritized. Work-Life & Stability: Enjoy a balanced work environment with competitive compensation and exposure to high-level corporate projects. Comprehensive Compensation: Robust package including base salary, performance bonus, retirement plan matching, health and dental benefits from day one, and additional perks. Key Responsibilities Treasury & Cash Management: Execute daily cash positioning, account reconciliations, pooling activity, and cash flow projections. Maintain operational aspects of core treasury platforms and inter-company netting systems. Banking & Liquidity Operations: Serve as the primary banking liaison; execute commercial paper, FX transactions, and short-term investments per corporate strategy. Prepare and process payments in alignment with internal financial controls. System & Vendor Administration: Oversee supplier setup, banking maintenance, and payment netting systems. Manage vendor coding tied to credit card and expense platforms. Corporate Travel & Fleet Programs: Administer corporate expense platforms (e.g., SAP Concur) to support employees. Manage day-to-day administration for the corporate fleet program, including user manuals, toll inquiries, and fine processing. Accounting & Compliance: Assist with month-end journal entries, balance sheet reconciliations, and internal control documentation (SOX). Maintain updates to operational treasury manuals and assist with annual compliance audits. Continuous Improvement & Support: Apply lean concepts to streamline financial workflows. Provide ad-hoc reporting, financial analysis, and cross-functional support to global treasury leadership. Qualifications & Experience Education: College diploma or Bachelor’s degree in Accounting, Commerce, Finance, or a related discipline. Experience: Minimum of 5 years of progressive experience within a corporate treasury or financial operations role. Technical Skills: Advanced proficiency in Microsoft Office (Excel, PowerPoint, Word). Experience with automated productivity tools (e.g., Power Query, RPA) and corporate expense platform administration is strongly preferred. Core Competencies: Exceptional interpersonal and communication skills, high ethical standards, and a proven ability to manage sensitive, confidential data. Operational Drive: Strong multi-tasking skills with a track record of meeting strict reporting deadlines independently while contributing effectively within a team structure.

Ce que vous ferez

Manage daily liquidity, cash positioning, and banking relationships while overseeing corporate travel and fleet programs. Drive process efficiencies using lean principles and automation tools to optimize treasury operations and ensure SOX compliance.

Exigences

Requires a college diploma or Bachelor's degree in Finance, Accounting, or a related field with at least 5 years of progressive corporate treasury experience. Proficiency in Microsoft Office and experience with automation tools like Power Query or RPA is strongly preferred.

Avantages

• Base salary • Performance bonus • Retirement plan matching • Health benefits • Dental benefits

Compétences indiquées

  • Microsoft ExcelSouhaitée
  • Analyse financièreSouhaitée

Autres compétences pertinentes

Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.

  • Cash Management
  • Liquidity Management
  • Financial Analysis
  • Treasury Operations
  • FX Transactions
  • Account Reconciliation
  • SOX Compliance
  • Lean Accounting
  • Power Query
  • RPA
  • SAP Concur
  • Microsoft Excel
  • Cash Flow Projections
  • Vendor Administration
  • Inter-company Netting
  • Corporate Fleet Management

Domaines d’emploi

  • Finance & Accounting
  • Management & Leadership
  • Administrative

Renseignements supplémentaires

Formation minimale
Diplôme collégial
Expérience minimale
5+ ans
Postuler avant le
30 sept. 2026
Langue de l’offre
anglais
Heures de travail
40 heures par semaine
Niveau d’expérience
Mid-Senior level
Mode de candidature
La candidature directe est offerte