A financial services company is seeking expertise in treasury operations in Toronto, Ontario. The role involves implementing daily cash positioning and forecasting, supporting the M&A investment team, and confirming various derivative products. Applicants should have a university degree with CPA and/or CFA certification, along with strong experience in cash and liquidity management. This position offers opportunities for growth within a diverse environment. #J-18808-Ljbffr
Job Title
Treasury Strategy & Cash Flow Manager