Treasury Manager (Mississauga)

Treasury Manager (Mississauga)

21 Aug
|
TPGS
|
Mississauga

21 Aug

TPGS

Mississauga

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Reporting to the Treasurer – The Treasury Manager supports the organization’s liquidity and financial stability by preparing and analyzing cash flow, supporting banking relationships and minimizing risk exposure across North American operations.

What You’ll Do – The Role (Responsibilities)

- Own, maintain and analyze the 13 Week Cash Forecasting process utilizing Pegasus cash management software.
- Manage the daily cash balances in all

📌 Treasury Manager (Mississauga)
🏢 TPGS
📍 Mississauga

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