A leading organization in Ontario seeks a Treasury professional to manage cash positioning, liquidity requirements, and financial analysis. This role requires strong collaboration with Finance and IT teams, extensive experience in treasury functions, and a background in financial education. The successful candidate will contribute to strategic initiatives and improve processes while ensuring compliance with treasury policies. Competitive benefits and a commitment to a diverse and inclusive work environment await you. #J-18808-Ljbffr
Job Title
Senior Treasury & Cash Strategy Analyst