Senior Treasury Manager – Cash Flow & FX Risk

St-Amour & Associates, Senc.

Quebec

On-site

CAD 120,000 - 170,000

Full time

14 days+
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Benefits offered by this job

Competitive total compensation
Comprehensive group insurance
Group retirement savings plan with ERI
Telemedicine service
Vacation on hire
Professional development assistance
Social activities and events

Job summary

St-Amour & Associates, Senc. represents a major Canadian company with a national and international footprint, active in recycling, materials recovery, and industrial services.

The Senior Manager, Treasury will oversee daily treasury operations, liquidity management, and cash-flow forecasting, while supporting risk management and compliance across entities. Reporting to Finance leadership, the role emphasizes governance, system optimization, and collaboration with FP&A, tax, legal, and accounting

Job description

St-Amour & Associates, Senc. represents a major Canadian company with a national and international footprint, active in recycling, materials recovery, and industrial services.

The Senior Manager, Treasury will oversee daily treasury operations, liquidity management, and cash-flow forecasting, while supporting risk management and compliance across entities. Reporting to Finance leadership, the role emphasizes governance, system optimization, and collaboration with FP&A, tax, legal, and accounting

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