Back to Search

Treasury Advisor

Downtown of Montreal
Financier et fonds/investissement - Finance and Funds/Investment | Finance | #3623
French
Differentiating elements
  • Employee well-being
  • Growing environment
  • Stable environment
  • Structured environment
  • Professional development
  • Teamwork

About the employer

Our client is a leading global institutional asset manager that continues to evolve and grow. It is an employer of choice, which promotes professional development in an inspiring work environment and has state-of-the-art technology. Working with them means joining a team of experienced professionals and a positive and collaborative work environment.

Advantages: Great opportunities for growth - Close-knit and collaborative team - Growing company - Daily challenging projects - Automated controls and processes - Flexible schedule of 35h/week - Hybrid mode offered - 4 weeks of vacation - 6 days off during the holiday season - Reimbursement of professional training - Health & wellness allowances - On-site daycare and gym - Defined benefit plan - Above-market working conditions

Your responsibilities in a few words!

Participate in the structuring and execution of financing, currency and interest rate hedging transactions – Design various analyses on the global financing and bond markets – Participate in the development of financing tools – Participate in the follow-up and development of relationships with external and internal partners – Coordinate financing requests and offer advisory services to users – Participate in the management of guarantees and letters of guarantee – Follow up on measures related to liquidity management Optimize the production and presentation of cash flow reports and analyses – Improve dashboards and communications within the team

Your assets for this position!

  • Graduate degree in finance, financial engineering, economics or a related discipline
  • Hold a CPA, CFA or pending designation
  • Minimum 3 years of relevant experience
  • Familiarity with public procurement and investment risks
  • Experience in the financial field (asset)
  • Highly proficient with Microsoft Excel, technology and data mining
  • Knowledge of SQL language, Matlab, Bloomberg and Tableau tools (assets)
  • Organizational, communication, collaboration and priority management skills
  • Bilingualism: excellent command of French and functional English
  • Summary

    This is an ideal opportunity for a curious individual with a professional approach and excellent communication skills. Reporting to the Senior Director, Treasury, you will help optimize the company’s financing and cash management. Are you looking for new challenges in a constantly changing environment? This position is probably for you, apply here for more details!

    Submit My Application

    Job offers

    Plus de 50 affichages

    Can't find the job that suits you?

    Submit a spontaneous application