Start Date
Immediate
Expiry Date
06 Jul, 25
Salary
0.0
Posted On
07 Apr, 25
Experience
2 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Thomson Reuters Eikon, Commerce, Communication Skills, Vision Care, External Relationships, Financial Systems, Dental Care, Excel
Industry
Financial Services
The Treasury Analyst role is a tremendous opportunity to see and live the global reach of Husky – whether it is through cash management, insurance risk management, or foreign currency risk management. Reporting to the Global Cash Manager, the Senior Treasury Analyst will be responsible for acting daily as the Back Office for Cash Management, and performing the daily cash manager duties when the Global Cash Manager is away; as well as day to day insurance risk management – serving Treasury’s clients for insurance certificates, contract reviews for insurance clauses, and managing the insurance renewal process and claims management globally. In addition, this person is the key reporting person for FX Risk Management and any other standard reporting requirements for the treasury team. Finally, they are the key liaison between accounting and Treasury for treasury budget requirements and accounting transactions.
This opportunity is a contract role for 2 to 3 months, with the potential to become permanent.
QUALIFICATIONS:
Benefits:
Schedule:
Work Location: In perso
Currency Risk Management
Insurance Risk Management
Claims management: Work with broker, insurers, adjusters to open, manage, & close claims.
Cash Management
Other