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Treasury Analyst

Momentum Financial Services Group

Toronto

On-site

CAD 60,000 - 80,000

Full time

6 days ago
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Job summary

A financial services company in Toronto is seeking a Treasury Analyst focused on back-office operations to ensure timely cash deliveries and prepare Treasury analyses. The role includes resolving cash delivery issues, assisting with cash forecasting, and supporting senior management with accurate reporting. Ideal candidates will have 3-5 years of experience and proficiency in cash handling and Microsoft Excel.

Qualifications

  • 3-5 years of store/management experience or team lead.
  • Excellent cash handling and reconciliation.
  • Effective time management of daily tasks.

Responsibilities

  • Resolve cash ordering/deliver service/bank fulfillment issues.
  • Assist with preparing the daily cash position for US and Canadian operations.
  • Monitor all payment processes to identify potential issues.

Skills

Proven ability to prioritize workload and perform multiple tasks
Commitment to accuracy and quality of work
Excellent written and oral communication skills
Proficient with Microsoft Office applications, including Excel

Education

High school diploma or equivalent work experience

Job description

The Treasury Analyst will be focused on back-office operations, ensuring cash to stores are accurate/timely, resolving armor car delivery issues, store banking access, etc. TheTreasury Analyst will also be responsible for preparing Treasury analysis and report generation activities in a manner designed to meet internal and external reporting requirements, and provide timely, accurate, meaningful reporting of operations to senior management. The Treasury Analyst role will initially be closely mentored with the objective of developing a well-rounded Treasury professional.

DUTIES/RESPONSIBILITIES

  • Resolve cash ordering/deliver service/bank fulfillment issues
  • Become SME on store cash ordering/cash delivery logistics
  • Assist with preparing the daily cash position for US and Canadian operations
  • Monitor all payment processes to identify issues between the Treasury Workstation [Kyriba] and the bank and route any exceptions or issues to the appropriate resources
  • Assist with the short- and long-term cash forecasting process
  • Store access administration for bank portals, etc.
  • Backup wires/EFT approval, as needed
  • Assist with Accounting reconciliation items
  • Maintain Treasury policies and controls
  • Other duties as assigned

EDUCATION

  • High school diploma or equivalent work experience

EXPERIENCE

  • 3-5 years of store/management experience or team lead
  • Excellent cash handling and reconciliation
  • Effective time management of daily tasks

SKILLS

  • Proven ability to prioritize workload and perform multiple tasks
  • Commitment to accuracy, organization and quality of work while possessing a sense of urgency when meeting goals or deadlines set by management
  • Creative, disciplined and resourceful when completing assigned tasks
  • Independent, self-motivated individual with a strong work ethic
  • Proficient with Microsoft Office applications, including Excel
  • Excellent written and oral communication skills
  • Ability to work well and communicate effectively in a fast-paced team environment

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