Primary Job Title :
Finance Analyst (Senior Analyst, Cash Management and Intraday Liquidity)
Alternate / Related Job Titles :
Finance Analyst – Cash Management
Treasury Analyst
Intraday Liquidity Analyst
Cash Management Analyst
Treasury Operations Analyst
Location : Toronto, ON, Canada
Onsite Flexibility :
Hybrid – 4 days in office
Contract Details :
Position Type : Contract
Contract Duration : 21 Months
Start : As Soon As Possible
Pay Rate : C$30–40 / hour
Job Summary
The Treasury and Balance Sheet Management (TBSM) department oversees Liquidity Risk, Capital Position, and Non-Trading Market Risk .
The Cash Management team is responsible for forecasting daily cash flows, maintaining sufficient collateral for the CAD Payment System, and reconciling settlement accounts with the Bank of Canada.
This role focuses on cash management and intraday liquidity operations , ensuring accurate cash positioning, settlement completion, and real-time liquidity monitoring across multiple teams.
Key Responsibilities
Manage Bank of Canada accounts
Forecast and analyze daily CAD and USD cash balances
Trade in the end-of-day interbank market to invest and fund accounts
Reconcile settlement balances with the Bank of Canada
Complete settlement obligations
Ensure adequate collateral for large and critical payment obligations
Monitor and explain Intraday Liquidity (Start of Day & Usage)
Investigate unexpected changes in cash balances
Optimize payments and improve real-time cash efficiency
Act as liaison between Cash Management, Intraday Liquidity, and Payment teams
Participate in industry forums and committees
Required Experience
3–5 years of experience in Finance, Treasury, or Payments
Post Secondary degree in Finance, Business, Risk, or related field
Ability to work closing shift (10 : 30am–6 : 30pm)
Experience working with both internal and external stakeholders
Comfortable handling access to customer data
Nice-to-Have Experience
Ability to handle strong personalities
Knowledge of AI tools
Required Skills
Trend analysis (3+ years)
Strong analytical and critical thinking abilities
Excellent verbal and written communication skills
Preferred Skills
Operational excellence and process improvement
Relationship management across multiple stakeholders
Ability to work well under pressure
Strong attention to detail
Proficiency in MS Office Suite (Excel, PowerPoint, Word)
Additional Skills
Collateral management
Payment optimization
Intraday liquidity monitoring
End-of-day interbank trading
Settlement reconciliation
About the Client
Top 10 bank in Canada and North America offering comprehensive financial solutions. Providing retail, commercial, wealth management, and wholesale banking services, helping clients thrive in today’s evolving market.
About GTT
GTT is a minority-owned staffing firm and a subsidiary of Chenega Corporation, a Native American-owned company in Alaska. We highly value diverse and inclusive workplaces and support Fortune 500 organizations across banking, financial services, technology, life sciences, biotech, utilities, and retail sectors throughout the U.S. and Canada.
Job Number : 26-01703
Finance Analyst • Toronto, ON