30 Aug
|
IFG - International Financial Group
|
Canada
30 Aug
IFG - International Financial Group
Canada
Embrace a rewarding career as a Treasury Manager in a hybrid setting. Manage corporate treasury activities while optimizing cash management and payment structures within the organization.
In this pivotal role, you are responsible for all treasury operations, ensuring effective cash management and directing payment processes. Collaborating with Regional Controllers will be essential in overseeing cash management strategies. This position provides an chance for growth with support from experienced mentors guiding your career trajectory.
Key Responsibilities:
• Manage company treasury operations effectively
• Supervise cash management and payment functions
• Collaborate with Regional Controllers for financial alignment
• Engage directly in treasury activities
• Optimize treasury processes and strategies
Requirements:
• Minimum of 3 years relevant treasury experience
• Bachelor Degree in Business is preferred
• Qualified accounting or treasury designation is a plus
• Strong analytical skills required
• Excellent interpersonal and communication abilities
Join a team-oriented setting to further hone your treasury management skills and career.
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📌 Experienced Treasury Manager Needed Manitoba (Canada)
🏢 IFG - International Financial Group
📍 Canada