TriSummitUtilities Inc. is seeking a Treasury Analyst to manage day-to-day cash flow for Canadian and U.S. utilities, optimize liquidity, and support financial reporting. You will work with Accounting and FP&A; to provide visibility into cash positions and advise on funding decisions.
The role emphasizes accuracy, confidentiality, and a team-oriented approach within the treasury and finance teams in a hybrid Calgary office.
J-18808-Ljbffr
📌 Treasury Analyst — Cash & Liquidity Forecasting Alberta
🏢 Socket.dev
📍 Alberta
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