Hybrid Treasury Analyst for Front Office Cash Management Strategy
Location
oshawa, durham region
Job Type
Full-time
Category
Other-General
Posted
June 18, 2026
Elevate corporate financial strategies as a Treasury Analyst in a hybrid work model. Focus on cash management, foreign exchange, and debt management while leveraging analytics and market research.
In this dynamic role, you'll engage in the development of corporate strategies for cash and risk management. You will analyze socioeconomic data, conduct capital market research, and manage negotiations on financial arrangements. This is a crucial position for someone with strong financial acumen and analytical capabilities who is looking to make a significant impact.
Key Responsibilities:
• Develop strategies for corporate cash and debt management
• Conduct capital market research for financial initiatives
• Analyze and interpret socio-economic data for decision-making
• Negotiate securities transactions and financial arrangements
• Maintain financial records and reporting documentation
Requirements:
• 4 years university education in finance or economics
• 6-8 y...
In this dynamic role, you'll engage in the development of corporate strategies for cash and risk management. You will analyze socioeconomic data, conduct capital market research, and manage negotiations on financial arrangements. This is a crucial position for someone with strong financial acumen and analytical capabilities who is looking to make a significant impact.
Key Responsibilities:
• Develop strategies for corporate cash and debt management
• Conduct capital market research for financial initiatives
• Analyze and interpret socio-economic data for decision-making
• Negotiate securities transactions and financial arrangements
• Maintain financial records and reporting documentation
Requirements:
• 4 years university education in finance or economics
• 6-8 y...