About the Company: A growing PE-backed multi-entity finance team in Etobicoke is focused on scaling and optimizing a diverse portfolio of operating companies. With an active acquisition strategy and a commitment to operational excellence, the organization is continuing to build out its finance infrastructure to support rapid growth and long-term value creation.
Senior Treasury Analyst
Location: 190 Attwell Dr, Unit 500, Etobicoke, ON (Onsite)
Salary: $140,000 CAD + 10 % bonus
Reports to: Director of Finance
The Opportunity: This team is seeking a Senior Treasury Analyst or Treasury Manager who brings a true builder mindset. This is not a maintenance or stabilization role, this individual will play a key part in shaping and evolving treasury operations across a rapidly growing, multi-entity environment.
You’ll work closely with the Director of Finance and executive leadership, owning treasury processes while helping drive system improvements and enhancing visibility into cash and liquidity across the organization.
Key Responsibilities
- Manage treasury operations across 10+ entities and 190+ bank accounts in a multi-bank, multi-currency environment
- Oversee daily cash positioning, liquidity management, and cash flow forecasting
- Monitor debt covenants and perform sensitivity analysis, clearly communicating risk and implications to senior leadership
- Present treasury metrics, KPIs, and cash insights directly to executive leadership
- Partner cross-functionally with both finance and non-finance stakeholders across the organization
- Support ongoing system implementation efforts to automate reporting and improve treasury visibility
- Perform and oversee high-volume bank reconciliations with a focus on accuracy and scalability
- Identify opportunities to streamline processes and bring forward ideas to improve treasury operations
Must-Have Qualifications
- 4+ years of direct experience in treasury operations, cash management, or treasury-focused roles (not general accounting)
- Proven “builder” mindset with demonstrated experience creating, improving, or scaling treasury processes
- Experience managing a high-volume bank account environment (ideally 50+ accounts across multiple banks)
- Strong experience with covenant monitoring and financial risk analysis
- Advanced Excel skills (cash modeling, scenario analysis, pivot tables)
- Ability to translate complex financial data into clear, actionable insights for executive leadership
- Strong communication skills and experience working cross-functionally across multiple entities
Nice-to-Have Qualifications
- Experience with Jonas ERP
- Exposure to DataRails (currently being implemented)
- Experience supporting acquisitions, financing activities, or restructuring efforts
- Multi-currency experience (primarily CAD/USD, limited EUR exposure)
- Background in private equity-backed or multi-entity environments
What Success Looks Like
- Brings ideas to the table and actively drives change
- Communicates clearly, concisely, and confidently with senior leadership
- Simplifies complex cash flow dynamics into actionable business insights
- Thrives in a fast-paced, evolving, and acquisition-driven environment