Overview

Manager finance; treasury Jobs in Toronto, Canada at The Mason Group Inc

Position: Manager finance (treasury) 6 months
Step into a pivotal Treasury leadership role where your expertise will safeguard business continuity during a period of change. This is a fully remote, 6-month contract (with occasional on-site visits) offering the opportunity to take ownership of Treasury operations while the Manager of Treasury is on sick leave, with uncertainty around their return. You’ll provide both technical Treasury oversight and steady leadership to ensure the function continues to run smoothly.

About the Role:

You will act as the day-to-day lead for Treasury operations, overseeing cash, liquidity and related reporting while the existing Manager of Treasury is on leave. Working closely with a capable Senior Financial Analyst (SFA), you will provide review, guidance and direction rather than hands-on processing. Your impact will be felt through maintaining control, continuity and clear communication with business units and external stakeholders during this interim period.

Key Responsibilities:

Lead the Treasury function on an interim basis, ensuring continuity of operations while the Manager of Treasury is on sick leave.
Provide leadership, oversight and quality review of the SFA’s work across cash flow, Treasury reporting and related analyses.
Act as the primary Treasury point of contact for business units, handling queries, feedback and requests for additional agreements or arrangements.
Review and approve Treasury-related documentation, agreements and proposals, escalating issues as needed.
Monitor daily liquidity, cash positioning and funding requirements, ensuring appropriate controls and approvals are maintained.
Oversee the preparation of Treasury reports for internal stakeholders, ensuring accuracy, clarity and timeliness.
Utilise Treasury systems (including e and Accelerate Elite products) to review data, validate outputs and support decision-making.
Step in to cover operational gaps as required if the Manager of Treasury returns during the contract period, ensuring a smooth transition of responsibilities.

Key Requirements:

Proven experience in Treasury operations with strong technical knowledge across cash management, liquidity and Treasury reporting.
Demonstrated leadership experience, including oversight, coaching and review of work produced by others.
Strong ability to review, challenge and validate Treasury analyses and reports rather than relying on others for technical guidance.
Excellent communication skills, able to liaise confidently with business units and external parties on Treasury matters.
Calm, professional demeanour with the ability to manage competing priorities and maintain control during periods of change.
High level of systems savvy, comfortable working with Treasury and finance platforms and quickly learning new tools.
Experience working remotely and managing relationships and deliverables in a virtual environment.  Additional Information:
The Mason Group is committed to fostering a diverse, inclusive, and accessible recruitment process. We welcome applicants from all qualified candidates. Accommodations are available upon request for candidates participating in all stages of the recruitment process, in accordance with the Accessibility for Ontarians with Disabilities Act (AODA).
This role is for an immediate vacancy, and we are actively hiring.
Technology-assisted screening tools including AI may be used during the recruitment process; however, all applications are reviewed by our Consultants.
TMGCT

Title: Manager finance; treasury

Company: The Mason Group Inc

Location: Toronto, Canada

Category:

 

Upload your CV/resume or any other relevant file. Max. file size: 800 MB.