Senior Treasury Manager – Cash Flow & FX Risk (Quebec City)

Senior Treasury Manager – Cash Flow & FX Risk (Quebec City)

31 Aug
|
St Amour & Associates, Senc.
|
Quebec City

31 Aug

St Amour & Associates, Senc.

Quebec City

St-Amour & Associates, Senc. represents a major Canadian company with a national and international footprint, active in recycling, materials recovery, and industrial services.
The Senior Manager, Treasury will oversee daily treasury operations, liquidity management, and cash-flow forecasting, while supporting risk management and compliance across entities. Reporting to Finance leadership, the role emphasizes governance, system optimization, and collaboration with FP&A;, tax, legal, and accounting

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📌 Senior Treasury Manager – Cash Flow & FX Risk (Quebec City)
🏢 St Amour & Associates, Senc.
📍 Quebec City

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