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FC
Flatiron ConstructionVerified Job Source

Treasury Analyst

The Treasury Analyst manages daily cash activities, including investments, borrowings, and cash forecasting. They also coordinate with financial service providers and ensure compliance with FBAR and other federal regulations.

  • On-site
  • Toronto, ON
  • Posted Jun 26, 2026
  • Apply by Jul 7, 2027
  • 1 position

Job summary

Overview Are you a detail-oriented individual with a passion for analytics? As a Treasury Analyst, you will play a key role in assisting with our cash management, finding banking solutions and supporting cash forecasting processes. Collaborate with industry experts and committed teams who value individuality and recognize achievements. Apply now and transform your career with us. What you will be doing Conduct daily cash management activities for the Company. Executes investment of excess funds, short-term borrowings and reconciles daily cash position. Support cash forecasting process. Work with financial service providers to coordinate account openings, closures and changes in bank services. Perform daily wire transfers or ACH payments. Maintain database of bank accounts and authorized signatories, works in partnership with Company’s tax group to comply with the Report of Foreign Bank and Financial Accounts (FBAR). Assist in the implementation of and documentation of related workflows and processes. Support Treasurer in divisional assessments of bank services and fees. Identifies and assists in the implementation of treasury best practices. Evaluate new banking products and services. Prepare and assist month-end reporting to our parent company regarding balances and cash flows. What we are looking for Bachelor’s Degree in Business, Economics, Accounting, Finance or a related field required. 3+ years’ experience in Corporate Treasury role required. Strong attention to detail required. Advanced analytical skills required. Process oriented and proven time management skills required. Advanced knowledge of federal regulations regarding Company financial practice and compliance. Why work for us Some of the benefits you may be eligible for as an employee are: Comprehensive compensation package and paid time off program Industry leading 401(k)/RRSP Medical/Extended Health Care, Dental, Vision and/or Provincial Medical Wellness benefits & Employee Assistance Program Tuition Reimbursement Program We are an EEO/ADA/Veterans employer. Salary Min CAD $70,000.00/Yr. Salary Max CAD $80,000.00/Yr.

What you’ll do

The Treasury Analyst manages daily cash activities, including investments, borrowings, and cash forecasting. They also coordinate with financial service providers and ensure compliance with FBAR and other federal regulations.

Requirements

A Bachelor's degree in Business, Economics, Accounting, or Finance is required along with over 3 years of corporate treasury experience. Candidates must possess strong analytical skills and a deep understanding of federal financial regulations.

Benefits

• Comprehensive compensation package • Paid time off program • 401(k)/RRSP • Medical/Extended Health Care • Dental • Vision • Provincial Medical Wellness benefits • Employee Assistance Program • Tuition Reimbursement Program

Other relevant skills

Identified from the job description. Confirm important requirements above.

  • Cash Management
  • Cash Forecasting
  • Analytical Skills
  • Time Management
  • Financial Compliance
  • Wire Transfers
  • ACH Payments
  • Bank Reconciliation
  • Investment Management
  • Reporting

Job areas

  • Finance & Accounting
  • Data & Analytics

Additional details

Minimum education
Bachelor’s degree
Minimum experience
2+ years
Apply by
Jul 7, 2027
Posting language
English
Working hours
40 hours per week