Take charge as a Treasury Manager, overseeing treasury operations and cash movement in a thriving, remote-oriented environment. Drive efficiencies, enhance controls, and confidently manage a small team to boost operations. In this leadership role, you will report to the VP, Fund Accounting, focusing on end-to-end treasury functions. Key skills include cash management, banking relationships, and process optimization. Your proactive approach will ensure timely execution of all treasury-related transactions while upholding service standards across all funds. Key Responsibilities: Oversee execution and approval of fund-related payments Manage multi-currency transactions and banking relationships Conduct audits to identify and mitigate treasury-related risks Lead the rollout of new treasury systems and processes Monitor payment deadlines and compliance requirements Requirements: 2-3 years of treasury or cash management experience Strong knowledge of Canadian and international banking Experience in managing and mentoring a team Proficient in Microsoft Excel and treasury processes Strategic mindset and effective communicator Enhance treasury operations, drive improvements, and mentor your team in a collaborative, remote-friendly workplace. #J-18808-Ljbffr
Job Title
Treasury Manager Leading Cash Operations for Fund Administration