28 Aug
|
TMX Group
|
Toronto
Advance your career at TMX as a Cash Management Officer based in Toronto. This hybrid role features daily processing of dividend disbursements and account management tasks. Working closely with the Manager, Operations, you’ll manage daily financial transactions and assist with account reconciliations within the TSX Trust division. This entry-to-mid level role emphasizes your operational knowledge and detail orientation in supporting vital financial processes. Key Responsibilities:
- Set up and manage recent plan accounts
- Process share purchases and cash contributions
- Verify account balances and tax data
- Monitor NSF items and client deposit wires
- Issue cheques for share transactions and prepare statements Requirements:
- 1-3 years in an administrative or operational role
- Degree or diploma in Business, Finance, or related fields
- Strong reconciliation and numerical skills
- Knowledge of financial services software
- Excellent organizational and verbal communication skills Leverage your skills in financial operations at TMX, supporting critical systems for economic growth.
📌 TMX Hybrid Cash Management Role (Toronto)
🏢 TMX Group
📍 Toronto