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Blake's Treasury Manager for Finance Team
Job Description & How to Apply Below
In this critical role, you will be responsible for managing a talented team within both the accounts payable and cash receipts functions. Reporting to the Director of Finance and Administration, your responsibilities will include ensuring compliance with regulatory frameworks and optimizing the firm's liquidity through strategic cash management. Your leadership will guide team development and operational improvements.
Key Responsibilities:
• Oversee payment processes and vendor management in Toronto
• Administer corporate credit cards and cash receipts
• Ensure trust compliance and account reconciliations
• Define and implement cash management strategies
• Lead training initiatives for treasury operations staff
Requirements:
• At least eight years in treasury or finance roles
• Educational background in accounting or finance
• CPA designation is an added advantage
• Team management experience required
• Proficient with advanced Excel functions
Contribute your leadership and treasury expertise to Blake, Cassels & Graydon's Finance and Accounting department in Toronto.
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