Savaria is seeking a Treasury Analyst based at our head office in Laval, Quebec. This hybrid role reports to the Treasury Director and focuses on cash position, liquidity management, and treasury operations across entities.
You will build and enhance treasury reports, assist with FX trades, banking platforms, and process optimization, collaborating with accounting during close and audits. Fluency in English and French is required.
📌 Hybrid Treasury Analyst — Global Cash & FX Forecasting (Laval)
🏢 Savaria
📍 Laval