Global Treasury Lead for Multi-Asset Platform

atlantis it group

Montreal (administrative region)

On-site

CAD 200,000 - 280,000

Full time

6 days ago
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Benefits offered by this job

Executive compensation package
Performance-based bonus and long-term/

Job summary

Sagard seeks a seasoned Head of Treasury in Montreal to design and lead a global treasury function for a multi-asset platform. You will shape governance, controls and reporting while building scalable infrastructure to support a multi-entity, multi-currency framework.

Your responsibilities include liquidity planning, capital allocation, and execution of financing solutions, plus managing banking relationships and FX strategies to optimize cash.

Qualifications

  • 15–20+ years of treasury, financing, or capital markets experience.
  • Background in alternative asset management, private equity, or credit.
  • Deep expertise in fund financing and capital structure optimization.
  • Strong track record building or transforming treasury functions.
  • Proven ability to manage senior stakeholders and external partners.

Responsibilities

  • Design and implement a global treasury operating model, including governance, controls, and reporting frameworks.
  • Build scalable infrastructure supporting a multi-entity, multi-currency investment platform.
  • Oversee liquidity planning, capital allocation, and cash optimization.
  • Structure and execute financing solutions including subscription lines, NAV facilities, and ABLs.
  • Manage banking relationships and lead negotiation of financing arrangements.
  • Develop FX and hedging strategies.
  • Oversee global cash management and banking structures.

Skills

Treasury
Financing
Capital Markets
Stakeholder Management
Treasury Transformation

Education

Bachelor’s degree in Finance/Economics/Accounting
CFA and/or MBA preferred
CPA or similar designation is a plus

Job description

Sagard seeks a seasoned Head of Treasury in Montreal to design and lead a global treasury function for a multi-asset platform. You will shape governance, controls and reporting while building scalable infrastructure to support a multi-entity, multi-currency framework.

Your responsibilities include liquidity planning, capital allocation, and execution of financing solutions, plus managing banking relationships and FX strategies to optimize cash.

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