What will you do? Below are some of the primary responsibilities you will be taking on in this role.
There will be more, but we can discuss those in person.
Obtain an understanding of the cash funding requirements for all Dream group of companies and assist in preparing cash forecasts for our companies; Maintain the reconciliation and reporting of the Dream group of companies cash activities on a daily basis; Ensure appropriate documentation is maintained for all bank transactions and communicated to finance teams in a timely manner; Provide insight to the treasury manager on daily cash / banking activities to identify continuous improvements to our processes; Assist in the administration and management of the Companys credit facilities by calculating any associated costs such as interest expense and standby fees; Process outgoing wire payments,
EFTs and internal bank to bank transfer; Download daily banking statements and update daily cash and cheque listing; and Assist with current bank account opening, update signing schedule and indemnity forms with various financial institution.
What type of experience do you have? These are only some of the things wed like you to bring to the table.
We can cover the rest when we meet: Wed love it if youve gained experience in a real estate workplace or a large complex organization; You have an undergraduate degree in Business, Accounting or Finance, or equivalent experience; You have solid Microsoft Office skills, especially in Excel and Word; Extra points if you have experience with JD Edwards system.
📌 Analyst, Treasury Toronto
🏢 Dream
📍 Toronto
Reply to this offer
Impress this employer describing Your skills and abilities, fill out the form below and leave Your personal touch in the presentation letter.