About Our Client
Our client is sourcing a Senior Consultant – Treasury for a 12-month contract.
About the Opportunity
- Support corporate treasury strategy covering cash management, debt financing, foreign exchange, and financial risk management
- Conduct capital markets research and financial analysis to support funding, liquidity, and investment decisions
- Monitor economic conditions, financial markets, and key indicators to assess impacts on financing strategies
- Analyze financial and economic data to develop recommendations for debt structures, short-term investments, and foreign exchange exposure
- Execute financial transactions within delegated authority, including buying and selling securities
- Negotiate financing terms and financial agreements to achieve optimal outcomes within policy limits
- Prepare and maintain detailed financial analyses, reports, transaction documentation, and supporting materials
- Coordinate with internal business units and external financial institutions, advisors, and market participants
- Support capital markets activities such as new security issuances, including preparation of offering materials and presentations
- Evaluate alternative financing solutions, including leasing, export credit arrangements, and project financing structures
- Perform cost-benefit analyses and economic evaluations for capital projects and major procurements
- Assist in negotiating financing terms related to capital expansion and large-scale infrastructure investments
- Prepare analytical materials and financial support documents for regulatory, governmental, and oversight reviews
- Maintain ongoing awareness of domestic and international bond, money, and foreign exchange markets
- Contribute to daily treasury operations and portfolio management activities
- Recommend improvements to debt portfolios, short-term borrowing, investments, and foreign exchange strategies
- Stay current on treasury best practices, financial instruments, risk management techniques, and economic trends
About You
Education
- Bachelor’s degree in finance, economics, business, or a related field
- Strong knowledge of financial markets, corporate finance, investment analysis, and accounting principles
- Experience with financial modeling, quantitative analysis, and cash management concepts
Experience
- 5+ years of progressive experience in treasury, capital markets, financial analysis, or investment-related roles
- Experience executing securities transactions and negotiating financing arrangements
- Understanding of corporate funding strategies, debt programs, liquidity management, and risk management frameworks
- Experience working within large, structured organizations with established financial policies and governance
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 #467669.
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.