S

Treasury & Cash Forecasting Analyst

Stella-Jones

montreal (administrative region), qc, Canada Full-time June 13, 2026
Apply Now

Opportunity Description

A leading manufacturer of essential infrastructure products is seeking a proactive Treasury Analyst in Montreal to support liquidity management and cash forecasting. Responsibilities include monitoring daily cash positions, preparing payments, and compiling detailed treasury reports. The ideal candidate will have a Bachelor’s degree in Finance, 1-3 years of experience, and strong proficiency in Excel. This role offers excellent benefits including health coverage and a retirement program.
#J-18808-Ljbffr
Full-time Other-General

Ready to Apply?

Submit your application for Treasury & Cash Forecasting Analyst at Stella-Jones

Apply for this Position