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Treasury Analyst III

IFG International Financial Group Ltd

Ontario

On-site

CAD 60,000 - 80,000

Full time

30+ days ago

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Job summary

An established industry player is seeking a skilled Treasury Analyst III for a dynamic 12-month contract in Toronto. This role offers a unique chance to engage in critical treasury operations and cash management tasks, supporting system implementation initiatives and collaborating with various stakeholders. The ideal candidate will possess strong analytical skills and advanced Excel proficiency, along with experience in data visualization tools like Power BI. If you are ready to contribute to vital financial processes and make a significant impact in a large financial institution, this opportunity is perfect for you.

Qualifications

  • Bachelor’s degree in finance or related field required.
  • CTP or similar certification with knowledge of treasury operations.

Responsibilities

  • Support business analysis efforts under AVP supervision.
  • Document end-to-end process flows and develop procedures.

Skills

Treasury Operations
Cash Management
Excel
Power BI
Business Analysis

Education

Bachelor’s Degree in Commerce
CTP or related certification

Tools

Excel
Power BI

Job description

Our client, a large financial institution, is looking for a Treasury Analyst III for a 12-month contract located in Toronto. This is an excellent opportunity for Treasury Analyst III with a financial services background

As a Treasury Analyst III your duties will include but note be limited to:

  • Supporting different efforts in the capacity of business analyst under the supervision of the AVP, including but not limited to system implementation initiatives held by Treasury Operations.
  • Attending meetings, documenting end-to-end process flows, developing procedures, generating test cases, test scenarios, and executing testing to assist the Head of Treasury Operations in the Procurement procure-to-pay programme, where Treasury Operations is a key stakeholder.
  • Documenting present and target states in collaboration with internal business stakeholders (onshore and offshore).

Qualifications required for the Treasury Analyst III include:

  • Bachelor’s Degree in Commerce, Business Administration, Finance or related area
  • CTP or another treasury/finance related certification. Knowledge of treasury operations and cash management is required.
  • Advanced to Expert Excel training is required.
  • Experience with Power BI or other data analysis or visualization tools required.

If you are interested in this opportunity, kindly send your resume in MS Word format to Ryan@ifgpr.com today!



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