A regional airline company in Toronto is seeking a Treasury Analyst to support cash management and forecasting for a fixed-term position. The successful candidate will monitor daily cash positions, develop a rolling cash forecast, and collaborate with banks and service providers. Ideal applicants should possess strong communication skills and relevant experience in finance, with proficiency in Microsoft Excel. This role presents an opportunity to contribute to the company's financial health and operational efficiency. #J-18808-Ljbffr
Job Title
Treasury Analyst - Cash Forecasting & Banking (18-Month)