Last updated: 2025-05-01

10 Treasury Management jobs in Toronto.

Hiring now: Treasury Analyst @ Charger Lo, Treasury Mgr @ Omniabio, Commercial Fin Mgr @ Mattel Can, Commercial Fin Mgr @ Mattelinc, Mgr Treasury Ops @ Caseware, Treasury Analyst @ Toronto Sc, Jr Foreign Exchange Fx St @ Ebury, Global Treasury Audit Tea @ State Stre, Sr Treasury Analyst @ Robinhood .Explore more at jobswithgpt.com.

🔥 Skills

cash flow (3) Excel (3) cash management (3) Treasury (3) financial analysis (2) Treasury Management Systems (2) foreign exchange (2) reporting (2) analytics (2) financial reporting (2)

📍 Locations

Toronto (5) Brampton (2) Mississauga (2) Hamilton (1)

Charger Logistics Inc.

Skills & Focus: cash flow, funding, reconciliation, financial analysis, Excel, Treasury Management Systems, foreign exchange, project management, reporting, analytics
About the Company: Charger logistics Inc. is a world-class asset-based carrier with locations across North America. With over 20 years of experience providing the best logistics …
Experience: Minimum 1 year of experience in a treasury role.
Salary: Competitive Salary
Type: Full-time
Benefits: Healthcare Benefit Package, Career Growth
Skills & Focus: cash flow, foreign exchange, financial analysis, cash management, Treasury Management Systems, financial reporting, analytics, Excel, reporting tools, organizational skills
About the Company: Charger logistics Inc. is a world-class asset-based carrier with locations across North America. With over 20 years of experience providing the best logistics …
Experience: Minimum 1 year of experience in a treasury role.
Salary: Competitive Salary
Type: Full-time
Benefits: Healthcare Benefit Package, Career Growth

Omniabio

Skills & Focus: cash management, financial stability, banking relationships, debt optimization, risk management, cash flow forecasts, tax reporting, corporate credit policy, financial reporting, process improvements
About the Company: OmniaBio is a developing organization and represents a fluid working environment. Flexibility and adaptability are essential, and duties will be influenced by …
Experience: 5+ years of managing treasury operations
Type: Full-time

Mattel Canada, Inc.

Skills & Focus: Trade Spend, Profitability Analysis, Customer Relations, Accounts Receivables, Collaboration, Team Leadership, Treasury, Compliance, Process Improvement, Business support
About the Company: Mattel is a leading global toy and family entertainment company and owner of one of the most iconic brand portfolios in the world. We engage consumers and fans…
Experience: 8+ years in commercial finance, preferably in FMCG; 3+ years of people leading experience.

Mattelinc

Skills & Focus: Trade Spend, Profitability Analysis, Customer Relations, Accounts Receivables, Collaboration, Team Leadership, Treasury, Compliance, Process Improvement, Business support

Caseware

Skills & Focus: Treasury Operations, financial operations, cash flow, bank reconciliations, cash forecasts, process improvements, external audits, analytical skills, Excel, financial management software
About the Company: Caseware is one of Canada's original Fintech companies, having led the global audit and accounting software industry for over 30 years, with more than 500,000 …
Experience: At least 3 years of relevant work experience
Type: Full-time

Toronto School Of Management

Skills & Focus: cash management, forecasting, investment management, banking relationships, risk management, compliance, audit, treasury policies, payment processing, reporting
About the Company: Toronto School of Management (TSoM) is an innovative college offering a broad range of career-focused programs in Business, Hospitality and Tourism, Big Data, …
Experience: 3+ years

Ebury

Skills & Focus: FX Exposure Analysis, FX Risk Management Solutions, Derivative Pricing, Trade Execution, Market Strategy Development, Quantitative Skills, Financial Modelling, Analytical Abilities, Communication Skills, Local Market Expertise
About the Company: Ebury is a leading global fintech company that empowers businesses to trade and grow internationally. It offers a comprehensive suite of products, including in…
Type: Full-time
Benefits: Industry-leading compensation and the opportunity to quickly increase your earnings through a transparent compensation …

State Street

Skills & Focus: audit, Treasury, liquidity risk, asset-liability management, financial services, risk assessment, internal control, team leadership, regulatory compliance, performance improvement
About the Company: State Street is one of the largest custodian banks, asset managers and asset intelligence companies in the world. From technology to product innovation, we’re …
Experience: 15+ years in auditing and first- or second-line Treasury/Risk roles.
Salary: $170,000 - $267,500 Annual
Type: Full-time
Benefits: Generous medical care, insurance, savings plans, flexible Work Programs, and extensive development programs.

Robinhood Markets

Skills & Focus: Corporate Treasury, Treasury Management System, Direct Cash Flow Forecast, Treasury Operations, Cash Positioning, Bank Account Management, Analytical Skills, Auditing, Financial Services, Collaborative Team Player
About the Company: Robinhood Markets was founded on a simple idea: that our financial markets should be accessible to all. With customers at the heart of our decisions, Robinhood…
Experience: 5+ years of experience in Corporate Treasury, preferably within a publicly traded global financial services company
Salary: $76,500 – $90,000 CAD
Type: Full-time
Benefits: Participate in a Robinhood bonus plan and Robinhood’s equity plan. Benefits vary by region and Robinhood entity.

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