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Our client, a leading organization in the finance sector based in Vaughan, ON, is seeking a Treasury Analyst! This will be a 6-month contract, with strong potential for extension or permanent hire. This is a fantastic opportunity for a recent graduate or early-career finance professional to gain hands-on experience in treasury and banking operations while working in a supportive, hybrid work environment.
Job Responsibility:
Prepare daily cash reporting and manage daily cash activities
Generate compliance and interest calculation reports for banking partners
Perform bank reconciliations and investigate discrepancies
Liaise with internal teams and banks to resolve reconciliation and payment issues
Process journal entries related to banking service charges
Track cheque status (stop/void as required) and monitor outstanding cheques
Ensure alignment between SAP and bank statements
Download and archive wire receipt documents for Accounts Receivable
Support AR/AP/Treasury functions as needed
Requirements:
1+ year of experience in bank reconciliations or treasury operations (or strong co-op/internship experience)
Strong proficiency in Microsoft Excel (advanced level)
Experience with SAP or similar ERP system preferred
Recent university or college graduate in Finance, Accounting, or related field
Strong attention to detail and time management skills
Effective communicator, both written and verbal
Ability to multitask and meet deadlines independently
Nice to have:
Experience with SAP or similar ERP system preferred
What we offer:
6 month contract potential for an extension or to go permanent