Enregistrer Retour à la recherche Description de poste Sommaire Offres similairesPlay a key role in treasury and foreign exchange operations.Work with global finance teams and banking partners.À propos de notre clientOur client is a well-established organization operating in the diversified trading and investment industry. The company supports international business activities and offers a collaborative environment where finance professionals can contribute to critical treasury and financial operations.Description de posteManage corporate cash flow and liquidity activities.Execute daily treasury operations and financial transactions.Monitor treasury policy compliance and internal controls.Reconcile banking interfaces between SAP and banking systems.Process journal entries and prepare financial reports.Execute and manage foreign exchange contracts and currency exposure.Collaborate with domestic and international stakeholders, including finance teams and banking partners.Analyze foreign exchange impacts and prepare management reporting.Support audits, accounting activities, internal control documentation, and digital transformation initiatives.Provide guidance and support to junior finance staff.MPI ne fait pas de discrimination fondée sur la race, la religion, le sexe, l'orientation sexuelle, l'identité ou l'expression du genre, l'âge, le handicap, l'état civil, ou sur le statut d'un individu dans un groupe ou une classe quelconque autrement protégé par la législation applicable en matière de droits de l'homme. MPI encourage les candidatures des minorités, des femmes, des personnes handicapées et de tous les autres candidats qualifiés.MPI does not discriminate on the basis of race, religion, sex, sexual orientation, gender identity or expression, age, disability, marital status, or based on an individual's status in any group or class otherwise protected under applicable human rights legislation. MPI encourages applications from minorities, women, the disabled and all other qualified applicantsLe candidat idéalUniversity degree or diploma in Finance, Business, or a related field.3 to 6 years of experience in banking, treasury, financial institutions, or financial accounting.Knowledge of foreign exchange, securities, settlements, cash management, and treasury operations.Strong understanding of accounting principles and financial reporting.Excellent analytical, problem-solving, and project management skills.High level of accuracy and attention to detail.Strong communication and collaboration skills.Proficiency with Microsoft Excel, Word, and PowerPoint; SAP and Power BI experience are assets.Fluent in English.Ce qui est offertExposure to a broad range of treasury, cash management, and FX activities.Opportunity to work with international finance teams and banking institutions.Diverse responsibilities across treasury, accounting, reporting, and compliance.Collaborative environment with opportunities for professional growth and development.ContactLaurence WingfieldIndiquer la référence de l'offreJN-082026-7078991Résumé du posteSecteur d’activitéFinance et ComptabilitéSous-secteurComptabilité financièreIndustrieFinancial ServicesOùTorontoType de postePermanentNom du consultantLaurence WingfieldNuméro de référence d’emploiJN-082026-7078991Job NatureTélétravail hybride