Opportunity Description
Job Overview
Woodbine Entertainment Group is a proud pioneer and the largest operator of professional horseracing in Canada. With almost 150 years of horseracing history, we deliver the most thrilling and highest quality racing, dining and entertainment experiences to our visitors. The Cash Management Analyst reporting directly to the Treasury Manager will have both day‑to‑day and ongoing impacts on financial transactions, keeping us on track, on time and on good terms with our valued partners. This role monitors and optimizes the company’s cash flow and liquidity, liaises with financial institutions, supports internal and external stakeholders regarding accounts and monetary queries, conducts account analysis and reconciliation, and provides regular reporting and analysis to support strategic financial decision‑making.
Responsibilities
- Cash Management:
- Monitor, reconcile daily cash positions for multiple bank accounts and resolve discrepancie...
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