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HomeCompaniesCareersen Fgfbrands Icims ComSenior Financial Treasury Analyst

Senior Financial Treasury Analyst

Careersen Fgfbrands Icims Com · Greater Toronto Area, ON, CA · Hybrid · Active · iCIMS

Job facts

FieldValue
CompanyCareersen Fgfbrands Icims Com
TitleSenior Financial Treasury Analyst
Normalized title-
Department / teamFinance
LocationGreater Toronto Area, ON, Canada
Work modelHybrid / Hybrid
Employment typeOTHER
Salary-
Statusactive
ATS provideriCIMS
Posted / first seen2026-06-19 / 2026-06-20
Changed / last seen2026-06-20 / 2026-06-20

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City jobsActive postings in Greater Toronto Area.Open
Department jobsActive postings in Finance.Open
Work model jobsActive Hybrid postings.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyCareersen Fgfbrands Icims Com
Source230478ac-202f-470c-bb03-e14bbd351257
ATS provideriCIMS

Description

Job Description Sr Financial Analyst - Treasury We’re a naan traditional company... Summary The Senior Financial Treasury Analyst is a strategic finance professional responsible for assisting in managing the organization's liquidity, optimizing cash flow, overseeing debt and FX hedging portfolios, and ensuring compliance with treasury policies. Partnering closely with FP&A, Accounting, and senior leadership, this role provides critical insights that protect financial assets and support enterprise-wide decision-making. What FGF Offers: FGF believes in Home Grown Talent, accelerated career growth with leadership training. Unleashing Your Potential Competitive Compensation, Health Benefits, & a generous flexible medical / Health spending account RRSP matching program Tuition reimbursement Discount program that covers almost everything under the sun - Restaurants, gyms, shopping etc. Primary Responsibilities: Cash & Liquidity Management Develop and maintain daily, weekly, and monthly cash flow forecasts Monitor global cash positions across all bank accounts and entities; execute cash concentration and pooling strategies. Identify funding gaps and surpluses and recommend appropriate short-term investment or borrowing actions. Debt & Capital Markets Assist in administering the company's credit facilities, term loans, and revolving lines of credit, including covenant tracking and compliance Prepare materials for lender reporting, bank meetings, and debt refinancing processes. Support capital structure analysis including debt capacity modeling Foreign Exchange Hedging & Risk Management Manage day to day FX hedging portfolio in line with the company's hedging strategy Identify, quantify, and hedge financial exposures including foreign exchange and interest rate risk. Execute FX spot and forward transactions; maintain relationships with banking counterparties. Banking Relationships & Operations Serve as primary contact for banking partners; negotiate fees, new services and inquiries Assist in overseeing bank account administration including opening/closing accounts, signatories, and online banking access. Drive treasury technology improvements including updates for ISO changes in the banking industry Financial Analysis & Reporting Assist in the preparation of monthly treasury reporting packages including liquidity dashboards and interest expense analysis. Support month-end close by providing accurate accruals for interest, stand-by fees & bank charges. Partner with FP&A on annual budgeting and strategic planning for interest income/expense and working capital. Controls & Compliance Maintain and enforce treasury policies, procedures, and internal controls in accordance with company policies and procedures Coordinate with external auditors on treasury-related audit requests. REQUIRED SKILLS/EXPERIENCE Bachelor's degree in Finance, Accounting, Economics, or related field required. Working towards an MBA, CFA, CTP (Certified Treasury Professional), or CPA designation strongly preferred. 1–3 years of progressive treasury or corporate finance experience in a mid-to-large public or private company. Demonstrated experience with cash forecasting, debt administration, FX hedging, and capital markets. Prior exposure to commercial banking is a strong asset. Advanced proficiency in Excel (financial modeling, scenario analysis, complex formulas). Working knowledge of ERP systems (SAP) and Power BI. Familiarity with SWIFT messaging, bank portal platforms, and electronic payment systems. Strong analytical and quantitative skills with meticulous attention to detail. Ability to synthesize complex financial data into clear, executive-ready communication. Sound judgment in managing competing priorities under time-sensitive conditions. High integrity, discretion, and ability to handle confidential financial information. Collaborative mindset with the ability to influence cross-functional stakeholders. What is the recipe for a great career at FGF? Working at FGF Brands, there is never a dull moment! As a successful company that is continually growing there is always challenging yet rewarding work to be a part of. We have an entrepreneurial spirit which encourages all our team members to use their own creativity and out of the box thinking to come up with solutions and new ideas.In compliance with Ontario’s Bill 190, we confirm that this posting represents a current, existing vacancy within our organization. Disclaimer: The above describes the general responsibilities, required knowledge and skills. Please keep in mind that other duties may be added or this description may be amended at any time. #LI-Hybrid

Full job record

Job ID3a1df8f94540a301f3d405ea60144aee4ea58f01
Org IDe2f6ad43-6f3c-49d6-8f45-5cabd06cf49e
Source ID230478ac-202f-470c-bb03-e14bbd351257
Board ID230478ac-202f-470c-bb03-e14bbd351257
Providericims
Provider Job Key25453
TitleSenior Financial Treasury Analyst
Normalized Title
Statusactive
Activeyes
Location TextGreater Toronto Area, ON, CA
DepartmentFinance
Team
Employment TypeOTHER
Workplace Typehybrid
Remote Policyhybrid
CountryCanada
RegionON
CityGreater Toronto Area
Salary RawJob Description Sr Financial Analyst - Treasury We’re a naan traditional company... Summary The Senior Financial Treasury Analyst is a strategic finance professional responsible for assisting in managing the organization's liquidity, optimizing cash flow, overseeing debt and FX hedging portfolios, and ensuring compliance with treasury policies. Partnering closely with FP&A, Accounting, and senior leadership, this role provides critical insights that protect financial assets and support enterprise-wide decision-making. What FGF Offers: FGF believes in Home Grown Talent, accelerated career growth with leadership training. Unleashing Your Potential Competitive Compensation, Health Benefits, & a generous flexible medical / Health spending account RRSP matching program Tuition reimbursement Discount program that covers almost everything under the sun - Restaurants, gyms, shopping etc. Primary Responsibilities: Cash & Liquidity Management Develop and maintain daily, weekly, and monthly cash flow forecasts Monitor global cash positions across all bank accounts and entities; execute cash concentration and pooling strategies. Identify funding gaps and surpluses and recommend appropriate short-term investment or borrowing actions. Debt & Capital Markets Assist in administering the company's credit facilities, term loans, and revolving lines of credit, including covenant tracking and compliance Prepare materials for lender reporting, bank meetings, and debt refinancing processes. Support capital structure analysis including debt capacity modeling Foreign Exchange Hedging & Risk Management Manage day to day FX hedging portfolio in line with the company's hedging strategy Identify, quantify, and hedge financial exposures including foreign exchange and interest rate risk. Execute FX spot and forward transactions; maintain relationships with banking counterparties. Banking Relationships & Operations Serve as primary contact for banking partners; negotiate fees, new services and inquiries Assist in overseeing bank account administration including opening/closing accounts, signatories, and online banking access. Drive treasury technology improvements including updates for ISO changes in the banking industry Financial Analysis & Reporting Assist in the preparation of monthly treasury reporting packages including liquidity dashboards and interest expense analysis. Support month-end close by providing accurate accruals for interest, stand-by fees & bank charges. Partner with FP&A on annual budgeting and strategic planning for interest income/expense and working capital. Controls & Compliance Maintain and enforce treasury policies, procedures, and internal controls in accordance with company policies and procedures Coordinate with external auditors on treasury-related audit requests. REQUIRED SKILLS/EXPERIENCE Bachelor's degree in Finance, Accounting, Economics, or related field required. Working towards an MBA, CFA, CTP (Certified Treasury Professional), or CPA designation strongly preferred. 1–3 years of progressive treasury or corporate finance experience in a mid-to-large public or private company. Demonstrated experience with cash forecasting, debt administration, FX hedging, and capital markets. Prior exposure to commercial banking is a strong asset. Advanced proficiency in Excel (financial modeling, scenario analysis, complex formulas). Working knowledge of ERP systems (SAP) and Power BI. Familiarity with SWIFT messaging, bank portal platforms, and electronic payment systems. Strong analytical and quantitative skills with meticulous attention to detail. Ability to synthesize complex financial data into clear, executive-ready communication. Sound judgment in managing competing priorities under time-sensitive conditions. High integrity, discretion, and ability to handle confidential financial information. Collaborative mindset with the ability to influence cross-functional stakeholders. What is the recipe for a great career at FGF? Working at FGF Brands, there is never a dull moment! As a successful company that is continually growing there is always challenging yet rewarding work to be a part of. We have an entrepreneurial spirit which encourages all our team members to use their own creativity and out of the box thinking to come up with solutions and new ideas.In compliance with Ontario’s Bill 190, we confirm that this posting represents a current, existing vacancy within our organization. Disclaimer: The above describes the general responsibilities, required knowledge and skills. Please keep in mind that other duties may be added or this description may be amended at any time. #LI-Hybrid
Salary Min
Salary Max
Salary Currency
Salary Periodday
Source URLhttps://careersen-fgfbrands.icims.com/jobs/25453/senior-financial-treasury-analyst/job
Apply URLhttps://careersen-fgfbrands.icims.com/jobs/25453/senior-financial-treasury-analyst/job
First Seen At2026-06-20 08:17:20Z
Last Seen At2026-06-20 08:17:20Z
Last Checked At2026-06-20 08:17:20Z
Last Changed At2026-06-20 08:17:20Z
Inactive At
Source Posted At2026-06-19 04:00:00Z
Source Updated At2026-06-19 20:40:35Z
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=icims/board=careersen-fgfbrands.icims.com/date=2026-06-20/2026-06-20T08-17-18-527Z-6c02ee7118e83fbf278fbdfadad74a79fea8fa6bd81a91aa89e59b48d25a5202.json
Event Fields
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Extensions
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