Our client, a leading energy company, is looking to hire a Treasury Administrator for a 6-month contract (with potential extension).
This is a hybrid position based in Calgary, AB.
Responsibilities o Administer cash application activities across multiple methods, including preauthorized payment services generated from energy trading platforms and ERP systems. o Prepare and review monthly balance sheet reconciliations, investigate discrepancies, and collaborate with staff and other departments to resolve issues. o Assess and recommend updates to procedures, reporting practices, and compliance standards to improve operational effectiveness. o Ensure strict adherence to SOX controls within the Cash Management function. o Support the Manager with ad hoc projects and initiatives as required.
Behavioral Competencies o Solid organizational and time management abilities with a focus on accuracy and attention to detail. o Effective team player with the ability to coordinate multiple tasks and priorities in parallel. o Cutting-edge thinker who can develop practical solutions to challenges. o Solid understanding of end-to-end processes and the importance of internal controls and fraud prevention.
Qualifications o Previous experience in accounting and analyst roles. o Bachelor''s degree or Diploma in Accounting or Finance preferred. o Proficient to advanced skills in SAP, Excel, and related business applications.
📌 Contract Treasury Administrator Calgary
🏢 International Financial Group
📍 Calgary
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