06 Sep
|
Kinvie
|
Ontario
Become a key player in EQ's Treasury team as an Analyst. This role supports daily liquidity management and requires a robust analytical skill set to drive operational efficiency from our Toronto office.
In this Analyst position, you will contribute to the Bank's daily cash management and investment operations, playing a significant role in operational continuity. You will work with internal teams to maintain accurate records, resolve discrepancies, and ensure compliance with regulatory requirements, all while identifying opportunities for process enhancements.
Key Responsibilities:
• Oversee daily cash and liquidity management operations
• Conduct investment activities as per established guidelines
• Support issuance and management of Guaranteed Investment Certificates
• Reconcile month-end entries and track financial activities
• Prepare and maintain regulatory reports for compliance
Requirements:
• Degree in finance, economics, or relevant field
• Prior experience in banking or financial environments
• Proficiency in Microsoft Excel for data analysis
• Understanding of banking products and operations
• Strong collaboration skills and attention to detail
Enhance your career in financial analysis and contribute to EQ's mission of redefining banking experiences.
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📌 Analyst Role in Treasury at EQ Bank (Ontario)
🏢 Kinvie
📍 Ontario