Treasury Analyst (3 Month Term)
Offre en anglaisThe Treasury Analyst will manage daily cash reporting, bank reconciliations, and journal entries within the ERP system. They will also analyze account activity, monitor financial discrepancies, and ensure compliance with SOX and GAAP regulations.
- Sur place
- Winnipeg, MB
- Publié 17 août 2026
- 1 poste
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Résumé du poste
Build an Aviation Career You’re Proud Of We are looking for an experienced Treasury Analyst to join our Treasury team for a three-month term. This is an immediate opportunity for someone with a strong treasury, finance or accounting background who can quickly step in and support our day-to-day cash management and banking activities. We have flexibility on the pay rate for the right candidate, based on experience. You’ll work closely with the Treasury team on daily cash reporting, bank reconciliations, journal entries and account analysis. Strong reconciliation experience is essential for success in this role. What you’ll do: * Prepare Daily Cash report for distribution to senior management, analyze bank activity to determine daily cash sources and uses * Complete bank reconciliations for month end reporting * Record journal entry transactions in the ERP system weekly * Analyze account activity: bank fees, FX gain/loss, interest & debt * Liaise with internal team members, banks & financial institutions for discrepancies and general inquiries * Develop monitoring reports and alerts for Treasury team * Ensure compliance with SOX, GAAP and regulatory requirements for treasury operations Required Qualifications * 2+ years of experience in finance, accounting, treasury or a related role * Strong hands-on reconciliation experience, including investigating and resolving discrepancies * Strong analytical skills and attention to detail * Proficiency with Microsoft Excel * Ability to quickly learn processes and work independently with minimal ramp-up * Must be eligible to work in Canada on a permanent basis Preferred Characteristics * Previous treasury or cash management experience * Experience preparing or supporting daily cash reporting * Exposure to foreign exchange, interest, debt and banking transactions * Experience working with ERP and financial systems * Familiarity with SOX, GAAP and financial controls * Comfortable working with banks, financial institutions and internal stakeholders * Adaptable and able to prioritize effectively in a fast-paced environment * Solid understanding of accounting and financial transactions, including journal entries #CORPFUNCTIONS #LI-MC1 Raising the Standard of Excellence since 1911 With over a century of proven excellence, StandardAero has become an industry leader in MRO services and customized solutions in the aerospace field. Our shared values and learning-based culture inspire our team to exceed their potential and power our customers’ missions worldwide. With on-the-job training, advancement opportunities, and excellent benefits, StandardAero invites you to experience a fulfilling and meaningful career with us. Inclusivity Is Our Standard It is StandardAero’s policy to provide equal employment opportunities to all qualified applicants without regard to race, color, religion, sex (including transgender status, sexual orientation, and pregnancy) sexual orientation, gender identity, national origin, age, protected veteran or disabled status, or genetic information. Our supportive environment celebrates diversity with no room for harassment or discrimination of any kind. We invite you to bring your authentic self to our team and experience our welcoming culture.
Ce que vous ferez
The Treasury Analyst will manage daily cash reporting, bank reconciliations, and journal entries within the ERP system. They will also analyze account activity, monitor financial discrepancies, and ensure compliance with SOX and GAAP regulations.
Exigences
Candidates must have at least 2 years of experience in finance, accounting, or treasury, along with strong hands-on reconciliation skills. Proficiency in Microsoft Excel and the ability to work independently are essential for this role.
Avantages
• On-the-job training • Advancement opportunities • Excellent benefits
Compétences indiquées
- Souci du détailSouhaitée
- Microsoft ExcelSouhaitée
- CommunicationSouhaitée
Autres compétences pertinentes
Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.
- Treasury management
- Cash management
- Bank reconciliation
- Journal entries
- Financial reporting
- Microsoft Excel
- ERP systems
- Account analysis
- SOX compliance
- GAAP
- Foreign exchange
- Debt management
- Analytical skills
- Attention to detail
- Communication
- Regulatory compliance
- Treasury Operations
- Financial Controls
- Quick Learning
- Analytical Skills
- Account Analysis
- Accounting
- Reconciliation
- Bank Reconciliations
- Financial Institution
- Management
- Cash Management
- Enterprise Resource Planning
- Finance
- Financial Systems
- Generally Accepted Accounting Principles
- Maintenance Repair And Operations (MRO)
- Detail Oriented
Domaines d’emploi
- Finance & Accounting
- Administrative
- Treasury Analyst
- Financial Analysts
- Financial and Investment Analysts
Renseignements supplémentaires
- Expérience minimale
- 2+ ans
- Langue de l’offre
- anglais
- Heures de travail
- 40 heures par semaine