A rapidly growing fintech company in Calgary is looking for a Cash Management Specialist to manage collateral and funds flow, optimize cash management forecasting, and collaborate with auditors. The ideal candidate has a professional accounting designation or CFA, along with experience in cash management and intermediate SQL knowledge. This role offers meaningful equity and the chance to contribute to shaping the future of finance in Canada. #J-18808-Ljbffr
Job Title
Senior Treasury Analyst - Cash Flow & Forecasting