05 Sep
|
eqbank
|
Winnipeg
Become a key contributor to EQ Bank's Treasury team as an Analyst. This hybrid role involves cash management, investment operations, and regulatory reporting, driving operational efficiency every day.
As a Treasury Analyst at EQ, you will support essential cash and liquidity management activities. Your expertise in investment strategies, reconciliations, and financial data will play a significant role in maintaining accurate Treasury operations. Collaborate with internal and external partners to enhance processes and contribute to strategic initiatives while ensuring compliance with established policies.
Key Responsibilities:
• Support daily cash flow and liquidity management • Execute investment activities and monitor cash settlements • Manage Guaranteed Investment Certificate operations • Reconcile month-end and quarter-end entries promptly • Enhance regulatory reporting and documentation accuracy
Requirements: • Bachelor's degree in finance, economics, or business • Experience in treasury or financial operations • Robust analytical abilities and attention to detail • Proficient in Microsoft Excel and SQL • Knowledge of banking products and risk management
Drive Treasury excellence at EQ Bank through your financial expertise and problem-solving skills. #J-18808-Ljbffr
📌 Treasury Analyst at EQ Bank (Winnipeg)
🏢 eqbank
📍 Winnipeg