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Senior Analyst, Treasury

stackadapt • Canada


No Relocation

Posted: September 8, 2026

Job Description

We are seeking a Senior Analyst, Treasury to join our dynamic, treasury operations team on a 7-month contract, with potential for permanent placement. In this high-impact role, you will partner directly with financial leadership to manage liquidity across 40+ bank accounts, oversee FX strategy, and assist in implementing cutting-edge Treasury Management Software. This position offers fully remote flexibility within Canada.

This is a remote-friendly position based in Canada.

What You'll Be Doing:

  • Manage daily cash positioning, liquidity forecasting, and cash concentration decisions across accounts and entities
  • Execute and report on the FX hedging programme, including trade uploads, FX audit, and compliance with FX rates policy
  • Own bank account administration across entities, including openings, closures, portal access, signatory models, and fee monitoring
  • Manage credit agreement reporting obligations and support treasury compliance deliverables
  • Administer the company's insurance programme, including annual renewals, claims, certificates, and mid-term changes
  • Participate in ongoing Treasury automation and systems projects, contributing to process improvement and operational continuity
  • Complete a structured knowledge transfer with the outgoing Senior Analyst to ensure full continuity of all Treasury functions by December 2026
  • Independently manage the daily cash position report, intraday updates, and direct cash forecasting with minimal ramp time
  • Execute and document all FX trades and hedging programme activities in accordance with policy
  • Contribute to active Treasury improvement projects, supporting automation initiatives and operational transitions
  • Deliver all monthly, quarterly, and annual Treasury deliverables on schedule with accuracy and compliance
  • Zero disruption to daily cash management, hedging execution, and executive treasury reporting during the coverage period
  • All credit agreement, insurance, and compliance deliverables met on time and accurately
  • Knowledge transfer completed within the November cross-training window, with full handoff documentation
  • Treasury improvement projects maintained at pace with no treasury-side delays

What You'll Bring to the Table

  • 4+ years of treasury operations experience, with demonstrated hands-on ownership of cash management, FX/hedging, and bank administration
  • Experience with treasury or ERP systems (e.g. NetSuite, FloQast, or equivalent platforms)
  • Strong financial modelling skills with the ability to build, maintain, and interpret treasury-focused models (cash forecasting, liquidity scenarios, variance analysis)
  • Demonstrated use of AI tools to enhance productivity, automate routine tasks, or improve analytical workflows
  • Proven ability to manage a high volume of concurrent deliverables independently across daily, monthly, quarterly, and annual cycles
  • Excellent attention to detail and comfort operating in a fast-paced, high-growth environment with minimal supervision