23 Aug
|
TMX Group
|
Toronto
Become a key player in financial operations with TMX as a Cash Management Officer in Toronto. This hybrid role engages in daily transaction processing, account reconciliations, and support for dividend plans. As an entry-to-mid-level contributor, you will work under the Manager, Operations to handle day-to-day cash management tasks effectively.
This includes executing transactions, maintaining balances, and ensuring compliance with Anti-Money Laundering (AML) protocols. Your organized approach will help support the TMX Trust division's financial operations. Key Responsibilities:
- Set up plan participants and manage enrollments
- Process cash contributions and investment data shares
- Balance funds and verify tax information for accounts
- Conduct routine AML verifications
- Generate shareholder statements and mail documents Requirements:
- 1-3 years in financial services or trust administration
- College diploma or university degree in relevant fields
- Robust numerical skills and attention to detail
- Familiarity with financial software and capital markets
- Effective communication and teamwork skills Bring your operational expertise and attention to detail to the TMX team, enhancing key financial processes.
📌 Cash Management Officer at TMX (Toronto)
🏢 TMX Group
📍 Toronto