18 Sep
|
EQ Bank | Canada's Challenger Bank
|
Ontario
18 Sep
EQ Bank | Canada's Challenger Bank
Ontario
Explore a rewarding career as an Analyst in Treasury Management at EQ Bank in Toronto. This hybrid role emphasizes cash management, regulatory reporting, and process enhancements to empower financial operations.
As part of EQ Bank’s Treasury team, you will be instrumental in managing liquidity, executing funding activities, and ensuring compliance with banking regulations. Your role involves collaborating with various partners to uphold effective operational controls and support strategic initiatives. Bring your analytical skills to the forefront and contribute to strengthening EQ Bank’s financial framework.
Key Responsibilities:
• Oversee daily cash management and liquidity planning
• Execute funding activities in line with risk policies
• Manage various Guaranteed Investment Certificate functions
• Create and reconcile regulatory documentation accurately
• Enhance operational processes for better performance
Requirements:
• Degree in business, finance, or related area
• Experience in finance operations or banking environment
• Solid analytical skills with solid Excel proficiency
• Familiarity with SQL or SAS preferred
• Excellent communication and relationship-building skills
Use your talents to help redefine banking with EQ Bank, focused on innovation and excellence in financial services.
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📌 EQ Bank Analyst in Treasury Management (Ontario)
🏢 EQ Bank | Canada's Challenger Bank
📍 Ontario