06 Sep
|
eqbank
|
Ontario
Join EQ Bank as a Treasury Analyst and impact daily financial operations. This role focuses on cash management, investment activities, and supporting strategic initiatives in a hybrid setting.
In this position, you'll be instrumental in managing the Bank's liquidity and cash operations. Your contributions will include executing investment activities and preparing regulatory reports to ensure compliance and operational excellence. Work closely with a team-oriented team to identify process improvements that enhance the efficiency and reliability of Treasury functions.
Key Responsibilities:
• Manage cash and liquidity planning activities
• Execute daily funding and investment operations
• Monitor and reconcile Guaranteed Investment Certificate activities
• Prepare and enhance regulatory reporting documents
• Provide backup coverage for Treasury processes
Requirements:
• Degree in finance, economics, or relevant field
• Experience in banking or treasury operations
• Strong problem-solving and analytical skills
• Proficient in Excel and working with financial data
• Skills in communication and relationship management
Shape Treasury operations at EQ Bank through your analytical skills and commitment to continuous improvement.
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📌 Analyst, Treasury Operations at EQ (Ontario)
🏢 eqbank
📍 Ontario