Found Description
Join a dynamic team as a Treasury Analyst focused on daily treasury operations and cash reporting. Collaborate cross‑functionally with departments including Finance and Corporate Accounting. We are seeking a Treasury Analyst with 1-3 years of corporate treasury experience, particularly in the real estate sector.
Key Responsibilities
- Monitor daily cash position to meet commitments
- Adhere to month‑end cut‑off for cash reconciliation
- Execute wire transfers for various payments
- Liaise with business units for banking services
- Provide support during external audits and monitor compliance
Qualifications
- 1-3 years of corporate treasury experience
- Bachelor's degree in Accounting, Finance, or Business Administration
- Good verbal and written communication skills
- Ability to multitask effectively
- Familiarity with SAP or Yardi and proficiency in Excel as a Treasury Analyst, e...
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