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Treasury Jobs in Calgary, AB (NOW HIRING)

The future of treasury management is here at Bank of America. Powered by people. Driven by Technology. Reporting to the head of Canada Global Payments Solutions, the Treasury Sales Officer (TSO) will ...

As a Treasury Student, you will work alongside experienced and talented professionals and take part in interesting work assignments that stimulate learning. You will get first-hand exposure to how a ...

As a Treasury Student, you will work alongside experienced and talented professionals and take part in interesting work assignments that stimulate learning. You will get first-hand exposure to how a ...

Treasury & Cash Management * Oversee treasury operations, cash flow forecasting, liquidity management, and working capital optimization. * Monitor organizational cash requirements to ensure ...

Treasury & Cash Management * Oversee treasury operations, cash flow forecasting, liquidity management, and working capital optimization. * Monitor organizational cash requirements to ensure ...

Manage the monthly calculation, cash flow forecasting, reconciliation, and remittance of CORIK activity to Treasury in compliance with Crown requirements * Maintain account reconciliations for ...

Head of Finance

Calgary, AB · On-site

$140 - $180/hr

... treasury, and internal controls. This individual serves as a strategic partner to leadership, providing financial insight that guides business decisions while ensuring the accuracy, integrity, and ...

Align Finance, Treasury, and other modules for seamless operations * Review configuration and testing deliverables for quality assurance * Support data migration and reconciliation activities

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Treasury information

See Calgary, AB salary details

$32K

$85.5K

$164K

How much do treasury jobs pay per year?

As of Sep 7, 2026, the average yearly pay for treasury in Calgary, AB is $85,475.00, according to ZipRecruiter salary data. Most workers in this role earn between $57,000.00 and $104,000.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive in a treasury role?

To thrive in a Treasury role, you need strong analytical skills, financial acumen, and a solid understanding of cash management and corporate finance, typically supported by a degree in finance, accounting, or a related field. Proficiency in financial modeling, treasury management systems (TMS), and relevant certifications such as CTP (Certified Treasury Professional) are highly valued. Attention to detail, strong communication, and problem-solving abilities are crucial soft skills for managing risks and collaborating cross-functionally. These competencies are vital for ensuring effective liquidity management, financial stability, and strategic decision-making within an organization.

How does a treasury professional typically collaborate with other departments within an organization?

Treasury professionals regularly work with departments such as accounting, finance, and operations to ensure efficient cash flow management and risk mitigation. They coordinate closely with accounting teams to reconcile bank accounts and forecast cash positions, and support finance in managing short-term investments or debt. Additionally, treasury staff often partner with business units to understand funding needs and implement effective payment solutions. This cross-functional collaboration helps maintain the organization’s financial stability and supports broader business objectives.

What is the difference between Treasury vs Financial Analyst?

AspectTreasuryFinancial Analyst
Required CredentialsTypically a degree in finance, accounting, or economics; certifications like CFA or CPA are commonSimilar credentials; CFA or CPA can be advantageous
Work EnvironmentCorporate finance departments, banks, or financial institutions; focus on cash management and riskCorporate or investment firms; focus on data analysis, reporting, and forecasting
Employer & Industry UsageUsed across industries for managing company funds and financial risksCommon in finance, consulting, and corporate sectors for analyzing financial data
Comparison Search IntentUnderstanding 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.

What are the most commonly searched types of Treasury jobs in Calgary, AB?

The most popular types of Treasury jobs in Calgary, AB are:

What are popular job titles related to Treasury jobs in Calgary, AB?

For Treasury jobs in Calgary, AB, the most frequently searched job titles are:

What job categories do people searching Treasury jobs in Calgary, AB look for?

The top searched job categories for Treasury jobs in Calgary, AB are:

Infographic showing various Treasury job openings in Calgary, AB as of August 2026, with employment types broken down into 93% Full Time, 6% Part Time, and 1% Contract. Highlights an 90% Physical, 5% Hybrid, and 5% Remote job distribution, with an average salary of $85,475 per year, or $41.1 per hour.

Foreign Exchange Treasury Manager

Weatherford

Calgary, AB • On-site

Full-time

Posted 17 days ago


Weatherford rating

7.3

Company rating: 7.3 out of 10

Based on 20 frontline employees who took The Breakroom Quiz

49th of 87 rated oil and gas companies


Job description

We are seeking an experienced Treasury Manager to lead our foreign currency risk management operations. Reporting to the Senior Treasury Manager, you will oversee FX exposure analysis, hedge portfolio management, and strategic forecasting to optimize our global currency risk position. This is an excellent opportunity to leverage your FX expertise in a dynamic treasury environment.

We are currently seeking candidates located in: 

Canada: 700 9 Ave SW, Calgary, AB T2P 1H5

or

Houston: 2000 Saint James Place, Houston, TX 77056

Roles and Responsibilities

  • Manage monthly and quarterly FX processes including global FX rate input, hedge valuation, and execution of foreign exchange transactions

  • Coordinate FX confirmation and settlement processes to ensure accurate and timely transaction completion

  • Oversee and optimize the Weatherford FX hedge portfolio, including spots and forwards, swaps, options trading, balance sheet and cash flow hedging strategies

  • Conduct exposure analysis, reporting, and forecasting to support strategic decision-making

  • Provide periodic and ad hoc reporting on FX analyses, market conditions, and hedging results

  • Lead implementation of FX exposure reporting processes and Treasury Management System FX module

  • Develop and maintain sophisticated FX models to support risk management initiatives

  • Support additional treasury projects as assigned by the Senior Treasury Manager

Skills and Education

  • Bachelor's degree in Business, Finance, Accounting, or Tax

  • 4+ years of hands-on experience in FX risk management

  • Extensive knowledge of FX instruments including foreign currency and interest rate swap transactions

  • Advanced proficiency in MS Office Suite (Excel, PowerPoint, and Word)

  • Experience with Hyperion financial management software

  • Proficiency in Oracle enterprise system

  • Working knowledge of FXall trading platform

  • Bloomberg terminal experience for market analysis and execution

#LI-KP1


What Weatherford employees say

Pay

Benefits

Hours and flexibility

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