Hybrid Treasury Manager: Cash & Payments Leader

IFG International Financial Group Ltd

Canada

Hybrid

CAD 75,000 - 100,000

Full time

14 days+
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Job summary

A major construction company is seeking a Treasury Manager to oversee treasury and cash management activities. The role requires hands-on experience in treasury and involves collaboration with Regional Controllers. A Bachelor’s degree in Business and 3+ years of relevant experience are preferred. This position offers a hybrid work model, requiring in-office attendance three days a week. Interested candidates can apply by sending their resume to a provided email address.

Qualifications

  • 3+ years of relevant treasury experience post graduation.
  • Professional accounting and/or treasury designation is a plus.

Responsibilities

  • Manage ongoing treasury, cash management, and payments for the company.
  • Collaborate with Regional Controllers on treasury and cash management.

Skills

Treasury management
Cash management
Communication

Education

Bachelor Degree in Business

Job description

A major construction company is seeking a Treasury Manager to oversee treasury and cash management activities. The role requires hands-on experience in treasury and involves collaboration with Regional Controllers. A Bachelor’s degree in Business and 3+ years of relevant experience are preferred. This position offers a hybrid work model, requiring in-office attendance three days a week. Interested candidates can apply by sending their resume to a provided email address.
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