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An established industry player is seeking a dynamic Treasury Accounting Manager to lead a global treasury accounting function. This hybrid role offers the chance to shape financial reporting and compliance while collaborating with cross-functional teams. The ideal candidate will possess deep treasury product knowledge and a passion for financial innovation. You will manage treasury accounting processes, ensure regulatory compliance, and contribute to strategic projects. Join a forward-thinking organization that values flexibility, diversity, and professional growth, and take your career to the next level.
Join to apply for the Treasury Accounting Manager role at Computershare Canada
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Join to apply for the Treasury Accounting Manager role at Computershare Canada
Job Description
Location: Toronto, Canada or Bristol, UK (Hybrid)
This is a hybrid position primarily based in Toronto or Bristol. We’re committed to your flexibility and wellbeing, with a hybrid strategy requiring three days a week in the office, and the option to work remotely for some of your week. Find out more at http://computershare.com/flex.
We give you a world of potential
The Finance function plays a pivotal role in driving the strategic success of the Computershare Group, overseeing treasury management for client and corporate funds, financial planning and analysis, accounting and reporting, commercial finance, and tax support across all business units and functions.
This leadership position offers the opportunity to build and shape a global finance function. You will lead cross-functional collaboration with treasury, transactional accounting, and other key teams to ensure seamless coordination.
Are you ready to shape the future of treasury accounting for a leading global organization? We’re looking for a dynamic Treasury Accounting Manager to oversee treasury accounting, ensuring top-tier financial reporting, regulatory compliance, and cash management.
A role you will love
This role involves owning end-to-end booking for all treasury products globally, including client funds, deposits, money market funds, FX, derivatives, and more. You will lead accounting and valuation of derivatives, work closely with treasury and transactional teams, ensure accurate processing, and manage reporting functions including KPIs and variance explanations. You’ll also be the go-to expert for treasury accounting questions, develop policies, interpret IFRS, and coordinate audits.
If you are an experienced professional with deep treasury product knowledge and a passion for financial innovation, this is your role. Join us and lead a global treasury accounting function that sets the standard for excellence.
Key Responsibilities
What will you bring to the role?
We seek resilient candidates who thrive in a fast-paced, changing environment, with:
Preferred
Rewards designed for you
Flexible work arrangements, health and wellbeing benefits, share purchase plans, recognition awards, team events, and growth opportunities. Visit our careers hub for more details.
About Us
We are a global leader in financial administration with over 12,000 employees across 22+ countries. We value diversity and inclusion, providing equal opportunities and support during recruitment and employment.
About The Team
Our Shared Services support all business lines, ensuring operational excellence across technology, security, finance, risk, audit, governance, marketing, and HR. Join us to support our people, clients, and standards worldwide.