Elevate your career as a Treasury Analyst at Savaria Corporation, based in Laval, Quebec, using your cash management expertise in a hybrid work model. Focus on cash flow forecasting and treasury optimization.
This Treasury
Analyst position at Savaria, renowned for its accessibility products, involves crucial cash operations management and enhancing treasury reports. You will collaborate with business units to fulfill their treasury needs while maintaining rigorous internal controls. Effective communication and analytical skills are key to navigate this dynamic environment. Key Responsibilities:
- Monitor and analyze the global cash position securely
- Prepare short-term cash flow forecasts diligently
- Develop and maintain comprehensive treasury reports
- Support business units’ treasury-related activities
- Execute foreign currency transactions accurately Requirements:
- Bachelor’s degree in finance, business admin, or related area
- 2-3 years of experience, preferably multi-currency
- Solid analytical and Excel skills essential
- Proficient in English and French written and spoken
- Detail-oriented and organized approach required Apply your finance acumen to support Savaria’s mission in the accessibility industry.
📌 Laval Treasury Analyst with Savaria
🏢 Socket.dev
📍 Laval
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