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Treasury Operations Manager (12-Month Contract
Job Description & How to Apply Below
Porter Airlines is seeking a Senior Treasury professional to oversee liquidity management, cash forecasting, and banking relationships for a 12-month contract. You will manage daily cash positions, develop automated cash flow models, and collaborate with FP&A to align forecasts with long-term plans.
The role requires 5+ years in corporate treasury/finance, with strong leadership and communication skills, and experience with treasury systems. Hybrid work arrangement at Toronto Downtown Office.
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