Business Analyst - Treasury Operations
By Compunnel Inc. At Greater Toronto Area, Canada
2 years of operations / back-office experience in Cash Management / Payments
Professional designation / certification in Treasury, Accounting, Project Management, Business Analyst, Process Improvement are assets
Support change management and provide post-implementation warranty support and troubleshooting
Strong MS Excel skills including experience with using MS Excel Macros and Power Query
Write business requirements and specifications including data mapping specifications
Manage users’ expectations and stakeholder partnership
Junior Treasury Analyst Jobs
By Bosa Properties At Vancouver, British Columbia, Canada
Post secondary education in Accounting or Finance would be considered an asset;
One (1) year of experience in an accounting or administrative role;
Strong attention to detail and organizational skills;
Experience with Yardi would be considered an asset.
Assist with managing liquidity such as cash sweeps, payment fundings, and other cash movements required;
Process payments such as EFT, ACH, wires, and bill pay (including file imports) in our banking platforms;
Treasury Analyst Jobs
By Creation Technologies At Vancouver, British Columbia, Canada
Excellent technology skills in MS Office (Oracle experience considered an asset).
Prepare the daily cash report and manage to report across our global sites.
Assist with year-end financial audit requirements.
3+ years of relevant Corporate Treasury or Banking Operations experience.
The Treasury Analyst will have a bachelor’s degree with 2+ years of work experience in Corporate Treasury or Banking Operations.
Analyze liquidity with a keen eye to optimize the corporate cash position.
Sr Financial Analyst, Capital & Treasury
By Grand River Hospital At Kitchener, Ontario, Canada
Post-secondary education in Accounting or Financial Management and a Professional Accounting Designation: CPA/CA/CMA/CGA (completed or in progress)
Proficiency with Microsoft (MS) Office, with a strong knowledge of Excel and PowerPoint.
Proven track record with building and maintaining cross-functional relationships is a necessity along with excellent oral and written communication skills
Strong analytical skills, data driven insights, and a proven attention to detail and accuracy
Prepare all year end working papers, schedules and reports related to capital and treasury for the external year end audit
Contribute to business case development and capital investment review process and policies
Business Analyst (Treasury / Cash Management)
By Collabera At Greater Toronto Area, Canada
3+ years of professional experience in business systems analysis/project management function within Treasury cash management and Finance area
Communicate effectively to all levels of the management to report project status and critical issues requiring their attention
Create and maintain thorough and accurate project documentation (including functional and technical design specifications) according to the project management methodologies
Project manage small to medium initiatives (as required) according to the established project management methodologies
Experience in working on initiatives driving process automation
Aptitude to work under tight deadlines, handle multiple tasks and manage ambiguity