Treasury Ftp Analyst Jobs
By EQ Bank | Equitable Bank At Toronto, Ontario, Canada
Undergraduate or graduate degree, with a focus in Math or Computer science and/ or Finance
3+ years of experience in banking, technology and/or Treasury functions with familiarity of valuation approaches and concepts
Strong SQL skills to query, analyze, and manipulate data
Quantitative and analytical abilities required. This includes the ability to research approaches and develop statistical inference using the Bank’s proprietary data.
Understand our data ETL process (Extraction, Transformation and Load)
Understand business unit products and how the product will be modeled within the FTP system
Senior Analyst, Treasury Jobs
By Salesforce At Toronto, Ontario, Canada
Ability to work with remote management and business partners
Basic knowledge on intercompany transactions, In-House Banking activities, Treasury Management systems and banking connectivity is a plus
Communicate status of project to cross functional team members and management
Experience in SOX control design and knowledge of SOX documentation and execution
Build training material and communication to ensure successful end user experience.
2+ years of operational experience in Treasury, Treasury accounting or cash accounting. EMEA, APAC and LATAM experience is preferred
Business Analyst - Treasury
By IFG - International Financial Group At Toronto, Ontario, Canada
Project Management experience (Nice to Have)
8+ years of experience in Banking (Data Analysis, Business Analyst, Treasury, Capital Markets).
Experience or understanding of Treasury.
Proficiency in Microsoft (Excel, Word).
Power BI dashboards (Nice to Have)
Treasury System Analyst Jobs
By WilsonHCG At Toronto, Ontario, Canada
Train internal finance teams on treasury management services being implemented.
1+ year of Treasury Management experience
Support project planning and implementation of treasury management system.
Assist in set-up and creation of treasury dashboard, reports, visuals withing treasury management system.
Working Knowledge of treasury operations
Highly adaptable, ability to prioritize and manage multiple requests.
Treasury Analyst Jobs
By The Principle Group At North York, Ontario, Canada
Must have experience in Corporate Finance, Treasury, and/or capital expenditure, balance sheet and cash flow forecasting and analysis.
Experience with refinance loans on national and global market
3 to 5 years of experience working in a treasury planning and analysis capacity.At least 2 of those years in Canada.
Knowledge of foreign contract, foreign currencies
Experience analyzing external factors such as changing interest rates.
Experience working with LIBOR and CDOR loans.
Treasury Analyst Jobs
By Insight Global At Toronto, Ontario, Canada
2-5 years of banking or treasury management experience.
· Train internal finance teams on treasury management services being implemented.
Support project planning and implementation of treasury management system.
Assist in set-up and creation of treasury dashboard, reports, visuals withing treasury management system.
Working Knowledge of treasury operations
Ability to effectively communicate with all levels of the organization, strong verbal, and written skills.
Corporate Treasury Analyst Jobs
By CORE Resources At Toronto, Ontario, Canada
• Excellent analytical, problem solving, time management and organizational skills.
• Strong knowledge of design, development, and implementation experience utilizing data science technologies.
• 5+ years of experience in data solutions and applying data techniques.
• 5+ years relevant experience in Financial Institutions.
• Strong interpersonal skills; specifically able to act as change agent, facilitator and collaborator.
• Highly developed communication, interpersonal and negotiation skills are considered necessary for the success of this role.
Business Systems Analyst, Treasury
By Brookfield Asset Management At Toronto, Ontario, Canada
2-5+ years of experience in a related role supporting a Treasury Management System with preference given to FIS Quantum experience
Cash management including daily positioning, bank reconciliation and forecasting
Loan management including intercompany and credit facilities
Degree in Business, Commerce, Finance, Accounting, IT or a related discipline
Proven experience in solving business problems including solutioning, implementation and production support
Experience with Treasury application with preference on FIS Quantum
Senior Analyst, Treasury Accounting
By Priceline At Toronto, Ontario, Canada
Bachelor’s degree in accounting or finance, with experience related to the accounting for and the reconciliation of cash transactions
5-8 years of related professional experience, CPA or CPA-eligible desired
Experience with Oracle, BlackLine, SAP S/4 HANA and OneStream desired
Member of cash accounting team tasked with daily and monthly cash reconciliations
Responsible for the tracking and reconciliation of all customer funds from collection to supplier payment
Key resource for customer payments related projects
Business Analyst - Treasury Operations
By Compunnel Inc. At Toronto, Ontario, Canada
§ 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
§ Write business requirements and specifications including data mapping specifications
§ Experience in data mapping – write specifications and execute testing
§ Experience in working with ERP systems
§ Experience in delivering complex projects involving system implementation and business process changes
Business Analyst/Treasury/Python
By BeachHead At Toronto, Ontario, Canada
4-5 years of proven hands-on experience with SQL and Python
Strong working knowledge of Excel [VLOOKUP’s, PivotTables, etc]
Excellent written and oral communication skills
Experience working at a major Financial institution
Inputting raw data results into Excel and formatting them
Checking and validating data before it is sent out

Are you looking for an exciting opportunity to join a dynamic team in the Treasury department? We are looking for a Junior Treasury Analyst to join our team and help us manage our financial assets. You will be responsible for monitoring cash flows, analyzing financial data, and developing strategies to maximize returns. If you have a passion for finance and a drive to succeed, this could be the perfect job for you!

Overview A Junior Treasury Analyst is responsible for managing the company’s cash flow and liquidity. They are responsible for monitoring and analyzing cash flow, forecasting cash needs, and managing the company’s investments. Detailed Job Description A Junior Treasury Analyst is responsible for managing the company’s cash flow and liquidity. This includes monitoring and analyzing cash flow, forecasting cash needs, and managing the company’s investments. The Junior Treasury Analyst will also be responsible for developing and maintaining relationships with financial institutions, preparing and analyzing financial reports, and ensuring compliance with applicable laws and regulations. Job Skills Required
• Knowledge of financial analysis and forecasting
• Knowledge of cash flow management
• Knowledge of investments
• Knowledge of financial regulations
• Analytical and problem-solving skills
• Attention to detail
• Excellent communication and interpersonal skills
• Ability to work independently and as part of a team
Job Qualifications
• Bachelor’s degree in finance, accounting, or a related field
• 1-2 years of experience in a treasury or finance role
• Proficiency in Microsoft Office Suite
• Knowledge of financial analysis and forecasting software
Job Knowledge
• Knowledge of financial analysis and forecasting
• Knowledge of cash flow management
• Knowledge of investments
• Knowledge of financial regulations
Job Experience
• 1-2 years of experience in a treasury or finance role
Job Responsibilities
• Monitor and analyze cash flow
• Forecast cash needs
• Manage investments
• Develop and maintain relationships with financial institutions
• Prepare and analyze financial reports
• Ensure compliance with applicable laws and regulations