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Neighbourly PharmacyVerified Job Source

Treasury Analyst

The Treasury Analyst will manage cash flow forecasting, bank reconciliations, and merchant settlement analysis across a multi-location retail environment. They are also responsible for maintaining merchant processor relationships and preparing accurate journal entries for treasury-related transactions.

  • Remote
  • Canada
  • Posted Aug 5, 2026
  • 1 position

Job summary

Position Overview: We are seeking a detail-oriented and analytical Treasury Analyst to support the Company's treasury operations, cash management processes, and merchant payment activities across a multi-location retail environment. This role is responsible for cash flow forecasting, bank account reconciliations, merchant settlement analysis, variance reporting, and supporting merchant processor relationships. The ideal candidate will possess strong analytical skills, attention to detail, and the ability to collaborate effectively with internal stakeholders and external partners to ensure accurate and timely financial operations. This is a remote position available to candidates located within Canada. Key Responsibilities: Cash Flow Forecasting & Variance Analysis: Prepare and maintain daily, weekly, and periodic cash flow forecasts. Monitor daily cash positions and liquidity requirements, including coordinating drawdowns and repayments with banking partners. Assist in optimizing cash movements between bank accounts. Support weekly and monthly treasury reporting. Participate in treasury process improvement initiatives and automation projects. Analyze actual vs forecasted cash flows, identifying discrepancies and providing recommendations for improvement. Banking Activity Review & Journal Entry Preparation: Review banking transactions related to merchant processor deposits and associated fees. Prepare and post journal entries relating to merchant settlements, deposits, fees, chargebacks, and other treasury-related transactions while ensuring compliance with accounting policies. Bank Reconciliations: Perform regular bank reconciliations for each period to ensure all transactions are accounted for and discrepancies are promptly addressed. Merchant Account & Processor Management Maintain merchant processor portals and account access. Coordinate merchant account setup, maintenance, and store conversions/acquisitions. Manage pin pad orders, installations, and merchant equipment tracking. Investigate discrepancies between expected and actual deposits and work with relevant teams to resolve issues. Monitor merchant clearing accounts and investigate differences between expected POS settlements and actual bank deposits. Act as the primary liaison between the Company and merchant processors. Resolve issues related to deposits, fees, account access, payment devices, and merchant account configurations. Merchant Fee Analysis & Accruals: Conduct detailed analysis of merchant fees, including rental equipment and transaction costs. Accurately calculate and accrue merchant fees at period-end to ensure correct financial reporting. Support ad hoc treasury and finance initiatives, including reconciliation of cash collected through store POS systems against actual bank deposits. Qualifications & Requirements: Bachelor’s degree in Finance, Accounting, or a related field. 2+ years of experience in treasury, financial analysis, or accounting, with a focus on cash flow management, merchant accounts, and reconciliations. Strong understanding of banking activity and merchant processing systems. Excellent attention to detail and accuracy in journal entry preparation and bank reconciliations. Advanced proficiency in Microsoft Excel (pivot tables, XLOOKUPs, advanced functions). Strong problem-solving and analytical skills. Excellent verbal and written communication skills, with the ability to interact with various teams and external partners. Good to Have: Experience in Canadian Retail Pharmacy finance or treasury, particularly in a multi-location environment. CPA designation or progress toward CPA completion. Certified Treasury Professional (CTP) designation considered an asset. Experience with bank reconciliations using Blackline software. Experience working with Microsoft Dynamics 365. Experience with Power BI or other data visualization and reporting tools is considered an asset. Familiarity with reconciling cash collected vs. cash recorded by store POS systems. Strong interpersonal skills and the ability to work effectively with various teams and third-party vendors.

What you’ll do

The Treasury Analyst will manage cash flow forecasting, bank reconciliations, and merchant settlement analysis across a multi-location retail environment. They are also responsible for maintaining merchant processor relationships and preparing accurate journal entries for treasury-related transactions.

Requirements

Candidates must hold a Bachelor's degree in Finance or Accounting and possess at least 2 years of relevant experience in treasury or financial analysis. Proficiency in Microsoft Excel and a strong understanding of banking and merchant processing systems are required.

Listed skills

  • Data visualizationPreferred
  • Power BIPreferred
  • Problem solvingPreferred
  • Microsoft ExcelPreferred
  • Financial analysisPreferred
  • AccountingPreferred

Other relevant skills

Identified from the job description. Confirm important requirements above.

  • Cash flow forecasting
  • Bank reconciliations
  • Merchant settlement analysis
  • Variance reporting
  • Journal entry preparation
  • Microsoft Excel
  • Financial analysis
  • Merchant processor management
  • Data visualization
  • Accounting
  • Treasury operations
  • Problem-solving
  • Communication skills
  • Microsoft Dynamics 365
  • Blackline
  • Power BI
  • Account Reconciliation
  • Variance Reporting
  • Daily Cash Positioning
  • Treasury Operations
  • BlackLine (Accounting Software)
  • Variance Analysis
  • Cash Flow Management
  • Analytical Skills
  • Accruals
  • Mergers And Acquisitions
  • Automation
  • Reconciliation
  • Deposit Accounts
  • Bank Reconciliations
  • Management
  • Cash Flow Forecasting
  • Cash Management
  • Certified Public Accountant
  • Certified Treasury Professional
  • Chargeback
  • Communication
  • Data Visualization
  • Finance
  • Pivot Tables And Charts
  • Financial Analysis
  • Financial Statements
  • Settlement
  • Cash Flows
  • Interpersonal Communications
  • Problem Solving
  • Market Liquidity
  • Operations
  • Process Improvement
  • Collaboration

Job areas

  • Finance & Accounting
  • Retail
  • Data & Analytics
  • Treasury Analyst
  • Financial Analysts
  • Financial and Investment Analysts

Additional details

Minimum education
Bachelor’s degree
Minimum experience
2+ years
Posting language
English
Working hours
40 hours per week