Treasury Analyst
Listed on 2026-08-09
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Finance & Banking
Financial Analyst, Financial Reporting, Financial Compliance, Banking & Finance -
Accounting
Financial Analyst, Financial Reporting, Financial Compliance, Banking & Finance
Metrie is North America's largest manufacturer and distributor of interior millwork, producing and selling interior finishings. Established in 1926 and still owned by the founding family, we have been steadily growing our footprint and industry leadership for nearly 100 years. We help people transform houses into homes through product excellence and a superior customer experience.
We're looking for a Treasury Analyst to join our Finance team. In this role, you'll support Metrie's treasury operations and partner closely with Accounting, Accounts Receivable, Accounts Payable, Payroll, and banking partners to ensure cash activities are accurate, timely, and well controlled.
What You'll Do:As a Treasury Analyst, you'll play a key role in managing daily treasury operations, supporting cash flow management, maintaining strong financial controls, and ensuring the accuracy of treasury‑related accounting activities. This hands‑on role is ideal for someone who enjoys problem‑solving, working cross‑functionally, and driving operational excellence.
Location:In Office based out of our Vancouver, BC Head Office.
Key Responsibilities:- Prepare daily and monthly bank reconciliations, investigate reconciling items, clear bank G/L accounts, and support accurate cash reporting.
- Partner with Accounts Receivable and Accounts Payable teams to resolve clearing issues, banking discrepancies, returned transactions, lockbox exceptions, and unposted deposits.
- Prepare treasury‑related journal entries and reconciliations, including bank fees, interest, foreign exchange activity, intercompany funding, and other treasury transactions.
- Process banking transactions including wires, tax payments, intercompany transfers, positive pay uploads, stop payments, and ACH exception handling while ensuring compliance with approval controls.
- Maintain cash forecasts, analyze forecast‑to‑actual variances, and collaborate with key stakeholders to improve forecasting accuracy.
- Administer the corporate credit card program, including card setup and cancellations, reconciliation of card activity, expense review, and coordination of approvals.
- Work directly with banking partners and treasury service providers to resolve issues, maintain services, and support operational banking changes.
- Investigate and resolve treasury and banking‑related issues such as misapplied payments, duplicate debits, credit card issues, banking errors, and SAP posting discrepancies.
- Identify opportunities to improve treasury processes, documentation, internal controls, and operational efficiency.
- Support treasury reporting, audits, banking administration, and other treasury initiatives as required.
- We would love to hear from you if you have:
- 3-5 years of treasury, accounting, banking operations, cash management, or related finance experience.
- Experience performing bank reconciliations, investigating reconciling items, clearing bank G/L accounts, and preparing treasury‑related journal entries.
- Strong Excel skills with experience creating reconciliations, analyses, and recurring work papers in a high‑volume environment.
- Exceptional attention to detail and accuracy in control‑sensitive financial processes.
- Strong communication and relationship‑building skills, with the ability to collaborate across Finance teams and external banking partners.
- Highly organized, dependable, and able to manage recurring deadlines while demonstrating ownership and accountability.
- Experience with SAP and treasury‑related accounting processes is preferred.
- Bachelor's degree in Accounting, Finance, Business, or a related field.
- CPA, CTP, or other relevant professional designation completed or in progress.
- Direct corporate treasury or cash management experience.
- Experience with online banking platforms and treasury‑related banking services.
- Experience with Concur or similar expense management systems.
- Experience administering corporate credit card programs.
- Experience supporting multi‑entity or multi‑company organizations.
- Competitive pay range
- Working for a well‑established leader in the industry
- Benefits: health, dental and vision
- RRSP matching and DPSP programs
In adherence to the…
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