OverviewWe are a growth-oriented business in need of an experienced Corporate Treasury Specialist to help us expand our Treasury team and manage a robust treasury function for our clients. This will include maintaining and building on existing policies and procedures with the following objectives: process standardization and automation, enhanced cash visibility, improved controls, optimized utilization of cash, reduced risk of fraud, and enhanced financial and management reporting. The Corporate Treasury Specialist is a client facing role and will be required to nurture the great relationships we have with our existing clients and cultivate the same with new clients that we bring on board.Additionally, the Corporate Treasury Specialist may be responsible for corporate bookkeeping duties, so some hands-on accounting experience is an asset. If you have no hands-on accounting experience, but are working toward a career in accounting, then we can offer the training and support that youll need to move toward your goal of becoming a designated CPA. This role is very well suited to individuals with banking and financial services industry experience who are looking to make a career pivot into the accounting industry.Who We AreTreewalk is a firm with an anti-firm culture think tech-startup, but accounting. We are on a journey to become the go-to training place for accountants of all levels who want to work in industry. We are an accounting and advisory practice based out of downtown Vancouver with an expanding presence across the country. We specialize in financial reporting and accounting needs for private and public companies. Our clients are from all industry sectors, and because we are industry-agnostic, we never shy away from new and emergent industries having worked with companies in e-commerce, retail, manufacturing, cannabis, mining, and biotechnology, to name a few. As one of the fastest growing accounting firms in Canada, weve got a lot on the go, and as far as were concerned, the only barrier to reaching our goals is finding exceptional talent to keep building out our team.RequirementsOur Ideal CandidateHas at least three years of experience in a cash management roleIs an expert relationship builder, is adept in customer service, and instills confidence in their interactionsActs with a sense of urgency, and has the ability to triage and prioritize multiple client requests that may be competing for attentionPossess exceptional analytical reasoning skills, and can formulate creative solutions to complex problemsMeticulously reviews their work, and knows that when it comes to cash management for clients, the stakes are high and errors are costlyWill take ownership over the organization and execution of the cash management functionHas a degree or diploma in accounting, commerce, or businessIs well versed in Excel, and would describe themselves as an intermediate user, at leastAssets includeFull cycle accounting experience, ideally for multiple entitiesExperience working with cryptocurrency transactionsExperience using RBC Express, BMO Online Banking for Business, CIBC, and PlootoAbout EightxWe provide Fractional CFO and Bookkeeping services for fast-growing eCommerce Brands and Agencies. We are seeking a detail-oriented and proactive Accountant to join our finance team. This role is aimed at finance and accounting professionals who are driven by challenging work. #J-18808-Ljbffr
Job Title
Corporate Treasury Specialist