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Treasury • brossard qc

Dernière mise à jour : il y a 16 heures
DIRECTOR, TREASURY OPERATIONS

DIRECTOR, TREASURY OPERATIONS

TALINKO - Recrutement de CadresMontréal, QC, CA
Our client, a leader in the retail sector, is looking for a.A well-established player in Canada, our client manages a vast network of locations, adapting its branding to different markets while mai...Voir plusDernière mise à jour : il y a 17 jours
Application Support Analyst

Application Support Analyst

MindlanceMontréal, QC
Functional Support Analyst and / or similar role.Experience in Cash management / Settlement systems / Wire transfer processes. Understanding of Treasury Operation.Treasury System (Integrity FIS) experien...Voir plusDernière mise à jour : il y a plus de 30 jours
  • Offre sponsorisée
Manager, Financial Information

Manager, Financial Information

Fed Finance CanadaMontréal, Quebec, Canada
CDI
Your responsabilites : • Oversees and coordinates the quarterly and annual consolidated financial review process to ensure financial information is accurate, timely and relevant and in accordance wi...Voir plusDernière mise à jour : il y a 6 jours
  • Offre sponsorisée
Treasury analyst - remote - Montreal

Treasury analyst - remote - Montreal

Randstad CanadaMontréal, Quebec, CA
Télétravail
CDI
Quick Apply
My client, a rapidly growing Quebec-based company with international exposure in the services sector, is seeking a Treasury Analyst. As part of their expansion, they are looking for a passionate and...Voir plusDernière mise à jour : il y a plus de 30 jours
Treasury Solutions Specialist

Treasury Solutions Specialist

Royal Bank of Canada>MONTRÉAL, Canada
Temps plein
You will develop and deliver on business priorities and improving the Client Experience through execution of sales plans to acquire new Treasury Solutions clients and sell additional Treasury servi...Voir plusDernière mise à jour : il y a 7 jours
Treasury Solutions Associate, Global Payment Solutions

Treasury Solutions Associate, Global Payment Solutions

RBC - Royal BankMontreal, QC
150 000,00 $CA par an
RBC is hiring a Treasury Solutions Associate role for our [Montreal based] Global Payments Solutions (GPS) Sales team.This role supports Treasury Solutions Specialists with their portfolio of strat...Voir plusDernière mise à jour : il y a plus de 30 jours
  • Offre sponsorisée
ADMINISTRATIVE TECHNICIAN (RARC) (DEV-S-2425-0101)

ADMINISTRATIVE TECHNICIAN (RARC) (DEV-S-2425-0101)

Cree Board of Health and Social Services of James Bay (CBHSSJB)Montreal, Canada
Temps plein
Person who performs work related to personnel management, financial management, work organization and planning for the execution of complex administrative tasks by compiling and analyzing data.This...Voir plusDernière mise à jour : il y a 13 jours
  • Nouvelle offre
Administrative Technician

Administrative Technician

Cree Board Of Health And Social Services Of James BayMontréal, Canada, CA
Temps plein
SUMMARY OF THE POSITIONPerson who performs work related to personnel management, financial management, work organization and planning for the execution of complex administrative tasks by compiling ...Voir plusDernière mise à jour : il y a 16 heures
Regulatory Project Manager

Regulatory Project Manager

ExperTech RecruitingMontreal
200 000,00 $CA par an
A large international financial services company is looking to hire a .This is a full-time position for an initial 10-month assignment, working in a hybrid environment (possibility of extension or ...Voir plusDernière mise à jour : il y a plus de 30 jours
Manager, Treasury

Manager, Treasury

Intact Financial CorporationMontréal, Quebec, CAN
24,00 $CA par heure
Temps plein
Our employees are at the heart of what we do best : helping people, businesses and society prosper in good times and be resilient in bad times. When you join our team, you’re bringing this purpose to...Voir plusDernière mise à jour : il y a plus de 30 jours
Treasury Consulting Manager

Treasury Consulting Manager

AccentureMontreal, QC
Temps plein
As part of our CFO-Enterprise Value team, we give finance execs the sounding board they need.Value isn’t just about maintenance. It’s about zeroing in on smart, sustainable ways to grow, and finding...Voir plusDernière mise à jour : il y a 4 jours
  • Nouvelle offre
Senior Software Engineer (Web3 / Blockchain)

Senior Software Engineer (Web3 / Blockchain)

Lennor GroupMontréal, Canada, CA
Temps plein
Are you looking for an exciting opportunity to work with groundbreaking well-known Web3, Blockchain and Fortune 100 organizations?Our client in Toronto is looking for a skilled Software Engineer to...Voir plusDernière mise à jour : il y a 16 heures
Sr. SAP FICO Lead to support a Fiscal Year End change project for our large manufacturing client.

Sr. SAP FICO Lead to support a Fiscal Year End change project for our large manufacturing client.

S.i. SystemsMontreal
115 000,00 $CA par an
Our manufacturing client is seeking a.SAP FICO Lead to support a Fiscal Year End change project.Support a Fiscal Year End change from March 31 to December 31. Configure SAP FICO modules, focusing on...Voir plusDernière mise à jour : il y a plus de 30 jours
Manager, Treasury

Manager, Treasury

Fiera Capital CorporationMontreal
72 500,00 $CA par an
Temps plein
We invest in creating a culture of purpose that makes our people feel valued, cared for, seen, and heard.Our approach to employee experience is tailored to your needs and ambitions : .Your Inclusive ...Voir plusDernière mise à jour : il y a plus de 30 jours
Treasury Management Officer - Middle Market Banking

Treasury Management Officer - Middle Market Banking

JPMorgan Chase & Co.Montreal, QC, Canada
56 000,00 $CA – 65 000,00 $CA par an
Temps plein
Are you customer focused, enjoy building relationships and providing financial solutions to your clients? You have found the right team. As a Treasury Management Officer in Middle Market Banking, yo...Voir plusDernière mise à jour : il y a plus de 30 jours
Trade Support Analyst

Trade Support Analyst

Société Générale AssurancesMontreal, Canada
Banking operations processing Permanent contract Montreal, Quebec, Canada Reference 24000PVI Start date 2024 / 12 / 16 Publication date 2024 / 11 / 05. The aim of Global Banking Technology & Operations (GBT...Voir plusDernière mise à jour : il y a plus de 30 jours
Treasury Analyst

Treasury Analyst

BRPMontreal, QC
24,00 $CA par heure
We're looking for an analyst to join our treasury department and be at the heart of the corporate treasury function (cash management, risk management, financing, etc. You'll have the chance to work ...Voir plusDernière mise à jour : il y a plus de 30 jours
  • Offre sponsorisée
Product Director, Banking and Treasury Solutions

Product Director, Banking and Treasury Solutions

Banque Nationale du CanadaMontreal, Montreal (administrative region), Canada
Product Director, Banking and Treasury Solutions.A career as a Product Manager in the Banking and Treasury Solutions team at National Bank means participating in the transformation to have a direct...Voir plusDernière mise à jour : il y a 25 jours
Treasury Clerk

Treasury Clerk

Aston CarterMontreal,QC,Canada
55 000,00 $CA – 65 000,00 $CA par an
Record banking transactions on a weekly basis from various bank interfaces, perform cheque deposits and related journal entries. Ensure cash management on a daily basis to meet operational needs,.Pe...Voir plusDernière mise à jour : il y a plus de 30 jours
  • Offre sponsorisée
Senior Legal Advisor, Treasury

Senior Legal Advisor, Treasury

National BankMontreal, Canada
Temps plein
A career as a legal advisor in the Legal Affairs, Treasury team at National Bank means playing a key role in ensuring compliance with laws and regulations governing our financing activities.This ro...Voir plusDernière mise à jour : il y a 25 jours
DIRECTOR, TREASURY OPERATIONS

DIRECTOR, TREASURY OPERATIONS

TALINKO - Recrutement de CadresMontréal, QC, CA
Il y a 17 jours
Description de poste

About our client

Our client, a leader in the retail sector, is looking for a Director, Treasury Operations to join their team.

A well-established player in Canada, our client manages a vast network of locations, adapting its branding to different markets while maintaining a strong local identity. Their dynamic team of professionals drives growth and operational excellence.

Join this thriving organization and contribute to its ongoing success in a fast-paced and evolving industry.

Description

Reporting to the Vice President, Treasury within the finance team, the Director, Treasury Operations will lead the company’s global liquidity and cash management operations. This key leadership role is critical in managing the company’s cash position, optimizing liquidity, and mitigating financial risks across various geographical operations.

In collaboration with the Vice President, Treasury, the incumbent will ensure that the global cash position and cash flow forecasting processes are effectively managed, maintaining a robust liquidity structure. This role also encompasses the management of financial risks, including foreign exchange risks, as well as overseeing the investment of excess liquidity.

The ideal candidate will possess a strong understanding of the markets, various financial products, and the overall needs of the company to identify opportunities for optimizing the liquidity structure. Building credibility through a collaborative approach with key internal and external partners is essential, as this position aims to ensure that business objectives are met while adding value to the function through informed recommendations and process optimization.

Main Responsibilities

  • Manage the global cash position of the company, including reviewing the daily cash position, and recommending strategies to mitigate liquidity risk; analyze cash flow reports collaboratively with multiple teams to develop key performance metrics and implement best practices for effective cash flow forecasting.
  • Oversee the global cash flow forecasting process, in collaboration with teams in Canada, the United States, and Europe. Manage the daily cash operations, monitoring cash movements and flow of funds while developing strategies to optimize liquidity and enhance cash flow.
  • Ensure the availability of funds across all geographic regions where the company operates by overseeing the company’s liquidity structure. Recommend, structure, and maintain a robust liquidity framework in partnership with other functional groups and business units, facilitating the efficient flow of funds between jurisdictions.
  • Manage the company’s foreign exchange risks associated with cash management, in partnership with the Vice President, Treasury. Design, implement, and execute comprehensive risk management strategies, including hedging recommendations for Canada, the United States, and Europe.
  • Oversee the investment of surplus cash in alignment with the company’s financial policies and risk tolerance. Evaluate investment opportunities and recommend strategies to enhance returns while ensuring the safety and liquidity of invested funds.
  • Cultivate and manage relationships with banking institutions and financial service providers to secure favorable terms and conditions; Negotiate cash management services and associated fees to ensure competitive rates and optimize service delivery.
  • Establish and maintain internal policies and procedures that impose an adequate level of control over treasury activities concerning cash management, banking, liquidity monitoring, investment of excess funds, and foreign exchange risk.
  • Actively participate in mergers and acquisitions, including conducting due diligence and facilitating treasury integration. Recommend improvements for major acquisitions and actively seek synergies to improve operational efficiency.
  • Lead a diverse treasury team located in Canada, the United States, and Europe, fostering a culture of continuous improvement and skill development in a dynamic environment.

Required Qualifications

Education

  • Bachelor’s degree in finance, accounting, or a related field
  • MBA or Professional certification (CPA, CFA, CTP) (an asset)
  • Professional Experience

  • 15 years of experience in treasury or cash management roles, with 5 years in a senior management position.
  • Skills

  • Strong understanding of cash flow forecasting methodologies and cash management techniques.
  • Proficiency in treasury management systems and financial modeling tools.
  • Bilingualism is required (French and English), both written and spoken, as the person will be called upon to serve English-speaking regions.
  • Specific Abilities

  • Excellent analytical, problem-solving, and decision-making skills.
  • Outstanding communication and interpersonal skills, with the ability to collaborate across all levels of the organization.
  • Ability to thrive in a dynamic, fast-paced environment while maintaining efficiency and adaptability.
  • Demonstrate a strong work ethic and continuous improvement mindset.
  • Committed to quality and rigor
  • Resilient, proactive, and solution-oriented
  • Autonomous and shows initiative
  • Ability to manage priorities while respecting deadlines
  • Follow Talinko on LinkedIn

    Only the people selected for an interview will be contacted. We support the principle of employment equity.

    TALINKO is a recruitment firm of middle and senior executives also offering support in the recruitment of members of the board of directors or advisory committee. We operate in different business sectors.

    Please note that the masculine is used to lighten the text, without prejudice against the feminine form.