Elevate your finance career with EQ Bank as a Treasury Analyst in Toronto. This hybrid role focuses on cash management, investment operations, and regulatory reporting while fostering financial efficiency. As a key member of EQ Bank’s Treasury team, you will enhance daily cash and liquidity management, execute funding operations, and manage Guaranteed Investment Certificate activities.
Collaborate closely with internal and external partners to uphold robust financial controls and ensure precise reporting. Your contributions will drive process improvements and strategic initiatives within a dynamic financial institution. Key Responsibilities:
- Support daily cash and liquidity management tasks
- Execute funding and investment operations systematically
- Manage Guaranteed Investment Certificate activities and month-end processes
- Prepare and enhance regulatory reports for accuracy
- Identify process improvements to bolster operations Requirements:
- Undergraduate degree in finance, economics, or related field
- Relevant experience in treasury or finance operations
- Strong Excel proficiency and analytical skills
- Aptitude for SQL or SAS data tools
- Excellent communication and relationship management skills Drive forward EQ Bank’s mission to reshape banking for Canadians with your financial expertise and cutting-edge mindset.
📌 Treasury Analyst at EQ Bank (Toronto)
🏢 EQ Bank | Canada's Challenger Bank
📍 Toronto
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