Found Description
Dive into a Treasury Analyst role where you'll manage daily treasury operations and collaborate closely with Finance, Tax, and Accounting. Gain valuable real estate industry experience.
The Treasury Analyst will be responsible for optimizing cash positions and ensuring accurate cash reporting. With 1-3 years of experience, the candidate will execute transactions, support internal teams, and manage banking inquiries. Attention to detail and strong organizational skills are critical for success in this fast-paced environment.
Key Responsibilities:
• Analyze and manage company’s cash position daily
• Execute timely wire transfers for critical payments
• Ensure month-end processes are properly executed
• Act as a liaison for setting up banking services
• Support compliance and audit activities
Requirements:
• Minimum of 1-3 years in corporate treasury
• Degree in Accounting, Finance, or Business Administration
• Strong communication abilities in written and...
The Treasury Analyst will be responsible for optimizing cash positions and ensuring accurate cash reporting. With 1-3 years of experience, the candidate will execute transactions, support internal teams, and manage banking inquiries. Attention to detail and strong organizational skills are critical for success in this fast-paced environment.
Key Responsibilities:
• Analyze and manage company’s cash position daily
• Execute timely wire transfers for critical payments
• Ensure month-end processes are properly executed
• Act as a liaison for setting up banking services
• Support compliance and audit activities
Requirements:
• Minimum of 1-3 years in corporate treasury
• Degree in Accounting, Finance, or Business Administration
• Strong communication abilities in written and...
Ready to Apply?
Submit your application for Corporate Treasury Analyst Position at CAPREIT
Apply Now