Manager of Treasury and Risk
Offre en anglaisManage centralized banking, liquidity, and foreign exchange risk strategies to support business operations. Lead insurance coverage, commodity risk management, and precious metals trading processes while partnering with senior leadership.
- Sur place
- Toronto, ON
- Publié 21 août 2026
- Postuler avant le 20 sept. 2026
- 1 poste
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Résumé du poste
About the Company Our client is a leading mining company headquartered in Toronto. They are seeking a Manager of Treasury & Risk Management to join their team! Why Work Here Industry-leading global gold producer with a strong balance sheet and long-term growth outlook. Broad treasury leadership role covering liquidity, FX hedging, commodity risk, insurance, and precious metals trading. High-visibility position partnering with senior leaders, operations teams, and global banking partners to influence key business decisions. About the Opportunity Manage centralized banking activities, cash management, investment and liquidity initiatives, including coordination with global banking providers and internal stakeholders. Partner with internal and external stakeholders (Treasury, Finance, Operations, Construction, Projects, Banking Counterparts, etc.) to lead the management of the company’s foreign exchange risks, including analysis of currency exposures and supporting hedging strategies (pre/post-trade). Support the refining and precious metals sales/trading process (pre/post-trade), gaining exposure to precious metals and capital market dynamics, as well as commercial decision-making. Contribute to commodity risk (input cost) management activities, including building an understanding of diesel and other commodity exposures and their impact on business operations. Provide leadership and guidance to operations and corporate teams on insurance coverage, contract language, and risk mitigation strategies. Coordinate and lead risk control visits and follow-up on recommendations to improve operational risk profiles. About You CPA or other professional designation is an asset. 3+ years of treasury experience, with exposure to areas such as cash/liquidity management, FX and commodity hedging, and/or insurance. Strong financial modeling and analytical skills. Ideally at the Managerial level currently Salary Range $135,000 - $150,000/year How to Apply Click the “Apply Now” button and follow the instructions to submit your resume. Please know that we only accept documents in MS Word or Rich Text formats. When referencing this job, quote #301782 -------- Disclaimer This position for employment is for a current vacancy with Vaco/Highspring’s client. You must currently reside within the Greater Toronto Area and be permitted to work in Canada to be considered for this opportunity. A recruiter will be in touch with you if your profile meets our client’s requirements for this role. Determining compensation for this role (and others) at Vaco/Highspring depends upon a wide array of factors including but not limited to the individual’s skill sets, experience and training, licensure and certifications, office location and other geographic considerations, as well as other business and organizational needs. With that said, as required by local law in geographies that require salary range disclosure, Vaco/Highspring notes the salary range for the role is noted in this job posting. The individual may also be eligible for discretionary bonuses, and can participate in medical, dental, and vision benefits as well as the company’s 401(k) retirement plan. Additional disclaimer: Unless otherwise noted in the job description, the position Vaco/Highspring is filing for is occupied. Please note, however, that Vaco/Highspring is regularly asked to provide talent to other organizations. By submitting to this position, you are agreeing to be included in our talent pool for future hiring for similarly qualified positions. Submissions to this position are subject to the use of AI to perform preliminary candidate screenings, focused on ensuring minimum job requirements noted in the position are satisfied. Further assessment of candidates beyond this initial phase within Vaco/Highspring will be otherwise assessed by recruiters and hiring managers. Vaco/Highspring does not have knowledge of the tools used by its clients in making final hiring decisions and cannot opine on their use of AI products.
Ce que vous ferez
Manage centralized banking, liquidity, and foreign exchange risk strategies to support business operations. Lead insurance coverage, commodity risk management, and precious metals trading processes while partnering with senior leadership.
Exigences
Requires 3+ years of treasury experience with a focus on liquidity, FX, and commodity hedging. A CPA or other professional designation is considered an asset.
Avantages
• Medical Insurance • Dental Insurance • Vision Insurance • 401(k) Retirement Plan • Discretionary Bonuses
Autres compétences pertinentes
Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.
- Treasury Management
- Risk Management
- Cash Management
- FX Hedging
- Commodity Risk Management
- Liquidity Management
- Precious Metals Trading
- Financial Modeling
- Insurance Coverage
- Analytical Skills
- Banking Relations
- Currency Exposure Analysis
Domaines d’emploi
- Finance & Accounting
- Management & Leadership
- Energy
Renseignements supplémentaires
- Formation minimale
- Diplôme professionnel
- Expérience minimale
- 2+ ans
- Postuler avant le
- 20 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