Join EQ as a Treasury Analyst and contribute to cutting-edge banking solutions nationwide. Focus on cash management, investments, and quality assurance in a hybrid work model from our Toronto location. In this role, as a Treasury Analyst, you will facilitate effective cash and liquidity management practices while providing support for investment strategies aligned with our regulatory commitments.
You will collaborate with cross-functional teams to maintain Treasury operations and drive continuous improvement initiatives that enhance service delivery and operational resilience. Key Responsibilities:
- Assist in liquidity planning and cash flow management
- Execute daily investment operations within policy frameworks
- Manage operational tasks for Guaranteed Investment Certificates
- Reconcile financial entries and resolve discrepancies
- Ensure compliance through accurate regulatory reporting Requirements:
- Bachelor’s degree in finance, business, or related discipline
- Relevant banking or treasury operations experience
- Advanced Excel skills and comfort with financial data
- Knowledge of cash and investment operations regulations
- Strong problem-solving and analytical skills Drive impactful change in Treasury operations and support EQ’s mission to empower Canadians through better banking.
📌 Treasury Analyst Position at EQ (Toronto)
🏢 Kinvie
📍 Toronto
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