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Treasury Advisor

Downtown of Montreal
Financier et fonds/investissement - Finance and Funds/Investment | Finance | #3623
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!

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