Treasury Analyst – Front Office

Treasury Analyst – Front Office

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Oshawa, Ontario

Accounting & Finance

Contract

01/27/2026

283618

Our client, a large and highly regulated organization operating within the energy and infrastructure space, is seeking a Treasury Analyst – Front Office to support corporate cash, foreign exchange, and debt management activities. This is a 12-month contract opportunity for an experienced treasury professional who thrives in capital markets–focused, front-office environments and enjoys working on complex financial transactions and analysis.

Benefits & Perks
  • Contract Length: 12 months
  • Hours: 35 hours per week
  • Work Model: Hybrid (2 days remote)
  • Location: Oshawa, ON
  • Rate: $60-70/hr
  • Exposure to front-office treasury operations and capital markets activity
  • Opportunity to work with senior finance leaders and external financial institutions
Responsibilities
  • Participate in the development and execution of corporate strategies and policies related to cash management, foreign exchange, and debt programs
  • Conduct capital markets research and cash management projects to support treasury initiatives
  • Analyze, interpret, and maintain financial, economic, and socio-economic data used in treasury decision-making
  • Evaluate economic indicators and financial market conditions and provide well-supported recommendations
  • Execute financial transactions, including buying and selling securities, within assigned authority limits
  • Negotiate financial arrangements and agreements to achieve optimal terms for corporate treasury activities
  • Prepare and maintain transaction records, reports, and supporting documentation
  • Liaise with internal departments and external stakeholders, including financial institutions and market experts
  • Support new debt issuance activities, including preparation and presentation of prospectus materials
  • Conduct cost/benefit analyses and economic evaluations of alternative financing structures such as leasing, export credit, and project financing
  • Assist with financing arrangements related to capital expansion and major infrastructure projects
  • Prepare analytical materials and financial data for presentations to regulatory bodies, ministries, boards, and legislative hearings
  • Monitor daily movements in bond, money, and foreign exchange markets and assess impacts on treasury portfolios
  • Analyze treasury portfolios and recommend changes related to debt, short-term investments, leasing, and foreign exchange
  • Stay current on market developments, tools, and best practices in treasury, capital markets, and risk management
Qualifications
Education
  • University degree in Finance, Economics, Business, Accounting, or a related discipline
  • Strong knowledge of financial markets, investment analysis, business finance, and economic theory
  • Understanding of financial modelling, cash management concepts, and quantitative analysis techniques
Experience
  • 6–8 years of progressive experience in treasury, finance, investments, or economics
  • Experience buying and selling securities and supporting capital markets transactions
  • Proven ability to negotiate financing arrangements and evaluate funding alternatives
  • Experience analyzing market trends and supporting debt, FX, and cash management programs
  • Experience working within large, complex organizations with established treasury policies and governance frameworks



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