25 Sep
|
eqbank
|
Toronto
Elevate your career as a Treasury Analyst with EQ Bank, where you'll manage cash and liquidity operations. This hybrid role emphasizes effective financial analysis and operational support.As the Treasury Analyst, you will play a vital role in supporting daily cash management and investment operations at EQ Bank. Your expertise in reconciliations and regulatory reporting will ensure accurate financial records and contribute to the overall efficiency of Treasury activities. Collaborate with various stakeholders to drive improvements in processes and service delivery, enhancing the banking experience.Key Responsibilities:Oversee daily liquidity management and investment activitiesExecute funding operations in line with policiesConduct month-end reconciliations and address discrepanciesPrepare and improve regulatory reports for accuracyAssist in operational processes for nominee broker depositsRequirements:Undergraduate degree in finance or related fieldRelevant experience in finance or treasuryStrong Excel skills and familiarity with data analysis toolsAttention to detail and accountabilityAbility to simplify operational processesContribute your financial analysis skills to EQ Bank's creative Treasury team and help redefine banking.
📌 Financial Analyst, Treasury At Eq Bank (Toronto)
🏢 eqbank
📍 Toronto