DAC is seeking a Treasury Analyst to manage global liquidity, banking relationships, and cash flow across North America and Europe. The role blends hands-on treasury operations with robust governance, documentation, and process improvement.
You will own cash positioning, forecasting, intercompany funding, FX hedging, and internal controls while supporting audits. This role requires three in-office days per week at DAC's offices and collaboration with senior leadership across time zones.
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📌 Global Treasury Analyst - Cash, FX & Risk (Ontario)
🏢 DAC
📍 Ontario