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Treasury Analyst: Cash Flow Forecasting & Banking Ops
Job Description & How to Apply Below
Lionsgate Canada is seeking a Treasury Analyst to join the finance team. This role will assist in day-to-day cash flow activity, forecast updates, and bank-related accounting entries, reporting to the Manager, Treasury Analyst.
The candidate should have 1–3 years in cash management, strong Excel skills, and the ability to analyze large data sets while collaborating across business units.
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