Hybrid Treasury Analyst Position
Job in
Ottawa, Ontario, Canada
Listed on 2026-06-24
Listing for:
Alterna
Full Time
position Listed on 2026-06-24
Job specializations:
-
Finance & Banking
Financial Analyst, Risk Manager/Analyst, Financial Reporting, Corporate Finance
Job Description & How to Apply Below
Join Alterna as a Treasury Analyst in a hybrid setup, focusing on essential funding and liquidity management. Utilize your finance skills to analyze data and optimize investment strategies effectively.
This full-time role requires a strong understanding of treasury functions, such as analyzing cash flows, maintaining interest rates, and preparing internal reports. You will be instrumental in evaluating liquidity positions and recommending actions to mitigate risks, ensuring financial stability and compliance.
Key Responsibilities:
• Model liquidity positions and analyze cash flows
• Evaluate discrepancies in financial data
• Prepare reports on interest rates and profitability
• Assist in treasury automation projects
• Support audit activities and respond to inquiries
Requirements:
• Bachelor's degree in finance required
• 2-3 years’ experience in relevant roles
• Working towards CPA/CFA designation preferred
• Proficient in computer skills and reporting
• Familiarity with capital markets and foreign exchange
Drive financial efficiency at Alterna by becoming a Treasury Analyst who excels in data analysis and strategic planning.
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