The Senior Manager, Treasury is responsible for the day‑to‑day execution and oversight of the company's treasury activities, including cash management, liquidity forecasting, banking ...
Quick apply
The Senior Manager, Treasury is responsible for the day‑to‑day execution and oversight of the company's treasury activities, including cash management, liquidity forecasting, banking ...
Quick apply
The Senior Manager, Treasury is responsible for the day‑to‑day execution and oversight of the company's treasury activities, including cash management, liquidity forecasting, banking ...
Montreal, QC · Hybrid
Reporting to the Senior Manager, Treasury Reporting and Analytics, the candidate will be responsible for financial modeling, funding liabilities analysis and forecasting and cost of funds ...
Montreal, QC · Hybrid
Reporting to the Senior Manager, Treasury Reporting and Analytics, the candidate will be responsible for financial modeling, funding liabilities analysis and forecasting and cost of funds ...
Montreal, QC · On-site
CA$33.39 - CA$57.43/hr
You are an experienced SAP Treasury Team Member with advanced proficiency in SAP FSCM Treasury and Risk Management (TRM). You excel in analyzing organizational processes, identifying financial and ...
Montreal, QC · On-site
CA$33.39 - CA$57.43/hr
You are an experienced SAP Treasury Team Member with advanced proficiency in SAP FSCM Treasury and Risk Management (TRM). You excel in analyzing organizational processes, identifying financial and ...
A career as a Senior Director Treasury Models Validation in the Model Risk Management team at National Bank means acting as a leader in the independent validation of Treasury models. This role allows ...
A career as a Senior Director Treasury Models Validation in the Model Risk Management team at National Bank means acting as a leader in the independent validation of Treasury models. This role allows ...
A career as a Senior Director Treasury Models Validation in the Model Risk Management team at National Bank means acting as a leader in the independent validation of Treasury models. This role allows ...
A career as a Senior Director Treasury Models Validation in the Model Risk Management team at National Bank means acting as a leader in the independent validation of Treasury models. This role allows ...
Maintain treasury policies, procedures, and internal control documentation \n * Support internal, external, and lender audits \n * Accounts Receivable & Collections Management: \n * Own the ...
Maintain treasury policies, procedures, and internal control documentation \n * Support internal, external, and lender audits \n * Accounts Receivable & Collections Management: \n * Own the ...
Treasury Operations, Capital Markets, Finance, Banking, Insurance, Capital Structure, Pension and Benefits Administration. The Treasury department is comprised of some 15 employees who are ...
Treasury Operations, Capital Markets, Finance, Banking, Insurance, Capital Structure, Pension and Benefits Administration. The Treasury department is comprised of some 15 employees who are ...
Responsibilities may include projects in Treasury risk (interest rate risk, transfer pricing, liquidity risk and pension funds risk), Capital Market risks analysis (P&L, Greeks, VAR), process ...
New
Responsibilities may include projects in Treasury risk (interest rate risk, transfer pricing, liquidity risk and pension funds risk), Capital Market risks analysis (P&L, Greeks, VAR), process ...
New
Responsibilities may include projects in Treasury risk (interest rate risk, transfer pricing, liquidity risk and pension funds risk), Capital Market risks analysis (P&L, Greeks, VAR), process ...
Posted today
Responsibilities may include projects in Treasury risk (interest rate risk, transfer pricing, liquidity risk and pension funds risk), Capital Market risks analysis (P&L, Greeks, VAR), process ...
Posted today
RBC's Transaction Banking team provides comprehensive treasury and cash management, trade finance, and payment solutions to corporate and institutional clients, supporting businesses to optimize ...
RBC's Transaction Banking team provides comprehensive treasury and cash management, trade finance, and payment solutions to corporate and institutional clients, supporting businesses to optimize ...
We are looking for a motivated and energetic intern to join our Cash Collection and Treasury team. The role will focus mainly on cash collection, around 90% of the internship . Cash management tasks ...
We are looking for a motivated and energetic intern to join our Cash Collection and Treasury team. The role will focus mainly on cash collection, around 90% of the internship . Cash management tasks ...
Valsoft is looking for a Treasury Operations Analyst to join our team in Canada. ABOUT VALSOFT CORP.: Established in Canada in 2015, Valsoft has grown to a global portfolio of 118+ companies ...
Quick apply
Valsoft is looking for a Treasury Operations Analyst to join our team in Canada. ABOUT VALSOFT CORP.: Established in Canada in 2015, Valsoft has grown to a global portfolio of 118+ companies ...
Montreal, QC · On-site
CA$56K - CA$103K/yr
Treasury, Payments & Advisory Expertise * Deliver tailored treasury management and payment solutions, aligning client operational needs with best-in-class banking capabilities. * Analyze client ...
New
Montreal, QC · On-site
CA$56K - CA$103K/yr
Treasury, Payments & Advisory Expertise * Deliver tailored treasury management and payment solutions, aligning client operational needs with best-in-class banking capabilities. * Analyze client ...
New
Intermediate Front Office Developer - Repo & US Treasuries Type: Permanent or Contract 37.5 hrs/week Location: Hybrid - Downtown Montreal, QC -(roles starts off 5 days in office for 1st 3 months ...
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Intermediate Front Office Developer - Repo & US Treasuries Type: Permanent or Contract 37.5 hrs/week Location: Hybrid - Downtown Montreal, QC -(roles starts off 5 days in office for 1st 3 months ...
As a Manager, Cash Management, you will focus on the development and growth of a portfolio of treasury and cash management intensive companies by working with CEO's, CFO's and Treasurers to ...
As a Manager, Cash Management, you will focus on the development and growth of a portfolio of treasury and cash management intensive companies by working with CEO's, CFO's and Treasurers to ...
As a Manager, Cash Management, you will focus on the development and growth of a portfolio of treasury and cash management intensive companies by working with CEO's, CFO's and Treasurers to ...
As a Manager, Cash Management, you will focus on the development and growth of a portfolio of treasury and cash management intensive companies by working with CEO's, CFO's and Treasurers to ...
Valsoft is looking for a Treasury Operations Analyst to join our team in Canada. ABOUT VALSOFT CORP.: Established in Canada in 2015, Valsoft has grown to a global portfolio of 118+ companies ...
Valsoft is looking for a Treasury Operations Analyst to join our team in Canada. ABOUT VALSOFT CORP.: Established in Canada in 2015, Valsoft has grown to a global portfolio of 118+ companies ...
Valsoft is looking for a Treasury Operations Analyst to join our team in Canada. ABOUT VALSOFT CORP.: Established in Canada in 2015, Valsoft has grown to a global portfolio of 118+ companies ...
Valsoft is looking for a Treasury Operations Analyst to join our team in Canada. ABOUT VALSOFT CORP.: Established in Canada in 2015, Valsoft has grown to a global portfolio of 118+ companies ...
Montreal, QC · Hybrid
The role is accountable for financial planning, accounting, reporting, treasury, compliance, controls, and investor-facing outputs across a multi-currency, multi-jurisdiction environment. The role ...
Montreal, QC · Hybrid
The role is accountable for financial planning, accounting, reporting, treasury, compliance, controls, and investor-facing outputs across a multi-currency, multi-jurisdiction environment. The role ...
Montreal, QC · On-site
CA$56K - CA$103K/yr
Application Deadline: 08/13/2026 Address: 105-119-129 rue St-Jacques O Job Family Group: Commercial Sales & Service Provides professional, knowledgeable cash management advice and support to banking ...
Montreal, QC · On-site
CA$56K - CA$103K/yr
Application Deadline: 08/13/2026 Address: 105-119-129 rue St-Jacques O Job Family Group: Commercial Sales & Service Provides professional, knowledgeable cash management advice and support to banking ...
$32K - $44K
10% of jobs
$44K - $56K
15% of jobs
$56.2K is the 25th percentile. Wages below this are outliers.
$56K - $68K
16% of jobs
The median wage is $74.8K / yr.
$68K - $80K
16% of jobs
$80K - $92K
14% of jobs
$97K is the 75th percentile. Wages above this are outliers.
$92K - $104K
10% of jobs
$104K - $116K
6% of jobs
$116K - $128K
5% of jobs
$128K - $140K
4% of jobs
$140K - $152K
2% of jobs
$152K - $164K
1% of jobs
$32K
$85.5K
$164K
| Aspect | Treasury | Financial Analyst |
|---|---|---|
| Required Credentials | Typically a degree in finance, accounting, or economics; certifications like CFA or CPA are common | Similar credentials; CFA or CPA can be advantageous |
| Work Environment | Corporate finance departments, banks, or financial institutions; focus on cash management and risk | Corporate or investment firms; focus on data analysis, reporting, and forecasting |
| Employer & Industry Usage | Used across industries for managing company funds and financial risks | Common in finance, consulting, and corporate sectors for analyzing financial data |
| Comparison Search Intent | Understanding treasury roles versus financial analysis roles |
While both Treasury and Financial Analyst roles require strong financial knowledge and similar credentials, Treasury focuses on cash management, risk mitigation, and funding strategies within organizations. Financial Analysts primarily analyze financial data, prepare reports, and support investment decisions. The roles often overlap but serve different strategic functions within a company.

Full-time
PTO
This job post has expired today. Applications are no longer accepted.
Be part of AIM's growing success.
American Iron & Metal Company (AIM) is a recognized global leader in the metal recycling industry, with over 125 locations and 4,000 employees worldwide. We have continued to thrive for the past eight decades thanks to the dedication of our employees and the ongoing trust and support of our customers.
Join the AIM team, a growing team that, over the years, has transformed into a multifaceted company with business divisions that include metal recycling, construction waste recycling, weldment fabrication, demolition and dismantling, and auto recycling. We pride ourselves on doing good for the environment to help create a greener, more sustainable future for everyone.
It's simple: we do it right. We strive for excellence.
Job DescriptionThe Senior Manager, Treasury is responsible for the day‑to‑day execution and oversight of the company’s treasury activities, including cash management, liquidity forecasting, banking administration, and financial risk support.
What you’re responsible for:
Cash Management & Forecasting
Banking & Treasury Operations
Risk Management Support
Reporting, Controls & Compliance
Systems & Process Improvement
Collaboration & Leadership
To join our team:
Required
Key Competencies
What we offer :