Contribute to Conexus’ strategic financial management as the Treasury Risk Manager. Focus on balance sheet optimization, cash management, and liquidity risk. In this pivotal leadership position, you will manage treasury risks and provide subject matter expertise essential for sound financial decision-making. Your analysis and oversight will enhance Conexus' capability to address risks and prospects within its balance sheet management policies. Key Responsibilities:
Develop and execute strategies for treasury risk management
Analyze emerging risks and market conditions
Direct cash management and liquidity risk oversight
Support interest rate risk management frameworks
Ensure effective governance and risk reporting processes Requirements:
Qualified finance or accounting designation
At least five years in a financial management role
Detailed understanding of product pricing and risk management
Experience with analytical and financial risk tools
Leadership experience in team development and coaching Join Conexus to leverage your expertise in treasury risk while supporting the financial well-being of our members.
📌 Conexus Treasury Risk Manager Regina (Canada)
🏢 RiseMe
📍 Canada