Home › Companies › Hyundaicapital Hcca En › Treasury Operations Associate
Treasury Operations Associate
Hyundaicapital Hcca En · Canada-Ontario-Toronto · Active · $117,566–$117,566 / year · Oracle Taleo Enterprise
Job facts
| Field | Value |
|---|---|
| Company | Hyundaicapital Hcca En |
| Title | Treasury Operations Associate |
| Normalized title | - |
| Department / team | - |
| Location | Toronto, ON, Canada |
| Work model | - |
| Employment type | - |
| Salary | $117,566–$117,566 / year |
| Status | active |
| ATS provider | Oracle Taleo Enterprise |
| Posted / first seen | — / 2026-06-13 |
| Changed / last seen | 2026-06-13 / 2026-06-21 |
Related slices
| Page | What it contains | Open |
|---|---|---|
| Company jobs | Active postings from Hyundaicapital Hcca En. | Open |
| Company breakdowns | Role, location, ATS, and work model facets for this company. | Open |
| ATS provider jobs | Active postings observed through Oracle Taleo Enterprise. | Open |
| Provider filtered search | The same provider as a filtered job collection. | Open |
| City jobs | Active postings in Toronto. | Open |
| Lifecycle events | Open, update, close, and reopen events for this posting. | Open |
| Original posting | Canonical source or apply URL captured from the ATS. | Open |
Linked records
| Company | Hyundaicapital Hcca En |
| Source | 0971c186-4036-4704-8b69-1947b075684a |
| ATS provider | Oracle Taleo Enterprise |
Description
Description - Internal Who We Are: Hyundai Capital Canada (HCCA) is the Canadian captive finance business for Hyundai Motor Group. We go to market under the service brands Hyundai Motor Finance, Kia Finance and Genesis Finance. Through a network of over 450 Hyundai and Kia dealerships and 30 Genesis distributors nationwide, we provide indirect vehicle financing and leasing solutions to consumers and commercial customers.
Employee Value Prop and Culture: Our employees contribute every day to a culture that is fast-paced, dynamic, energized, agile, and collaborative. From our employee programs to the unique design of our offices, we strive to create a connected, fun, positive, and rewarding workplace where employees feel appreciated, proud of their company, and deeply invested in HCCA’s success.
Global One Company : Many countries. One identity. Hyundai Capital has offices around the world, including South Korea, the United States, China, the United Kingdom, Germany, and Brazil. Our work environments follow consistent themes that represent our global values: simplicity, collaboration, symmetry, and elements of nature.
Position Summary: Reporting to the Manager, Treasury Operations, this role is an integral point of contact for daily Cash Management and Treasury Operations activities for Hyundai Capital Canada. Responsible for managing bank reconciliations, cash position/compliance reporting, and customer cash activity aggregation/data provision, and participating in short term liquidity forecasting and bank account maintenance activities for the HCCA Treasury team. The individual will play a significant role managing HCCA’s short-term funding facilities and will participate in the monthly sale and reporting processes covering HCCA’s securitization activities.
Duties & Responsibilities:
Prepare reports of the daily cash position of HCCA and provide daily oversight of cash flow. Prepare daily bank reconciliations between the general ledger and bank balances. Work closely with the HCCA Servicing team to provide up to date customer account information in terms of customer payments, refunds and returns. Ensure all incoming and outgoing payments are processed accurately through detailed account-level reconciliations. Assist in Cash Management process improvement initiatives involving customer refunds, credit card payments, dealer funding, dealer/OEM incentive payments and other similar projects. Participate in compliance support activities including external audits, business continuity planning as well as assistance with development and maintenance of policies and procedures. Coordinate and support bank account structure optimization. Maintain and verify monthly bank charges and identify cost reduction initiatives.
Participate in management of short-term revolving funding facilities and securitization facility sale analyses and servicer reporting, and required financial reporting of existing transactions, in an accurate and timely manner. Perform all other duties as assigned.
Description - Internal Who We Are: Hyundai Capital Canada (HCCA) is the Canadian captive finance business for Hyundai Motor Group. We go to market under the service brands Hyundai Motor Finance, Kia Finance and Genesis Finance. Through a network of over 450 Hyundai and Kia dealerships and 30 Genesis distributors nationwide, we provide indirect vehicle financing and leasing solutions to consumers and commercial customers.
Employee Value Prop and Culture: Our employees contribute every day to a culture that is fast-paced, dynamic, energized, agile, and collaborative. From our employee programs to the unique design of our offices, we strive to create a connected, fun, positive, and rewarding workplace where employees feel appreciated, proud of their company, and deeply invested in HCCA’s success.
Global One Company : Many countries. One identity. Hyundai Capital has offices around the world, including South Korea, the United States, China, the United Kingdom, Germany, and Brazil. Our work environments follow consistent themes that represent our global values: simplicity, collaboration, symmetry, and elements of nature.
Position Summary: Reporting to the Manager, Treasury Operations, this role is an integral point of contact for daily Cash Management and Treasury Operations activities for Hyundai Capital Canada. Responsible for managing bank reconciliations, cash position/compliance reporting, and customer cash activity aggregation/data provision, and participating in short term liquidity forecasting and bank account maintenance activities for the HCCA Treasury team. The individual will play a significant role managing HCCA’s short-term funding facilities and will participate in the monthly sale and reporting processes covering HCCA’s securitization activities.
Duties & Responsibilities:
Prepare reports of the daily cash position of HCCA and provide daily oversight of cash flow. Prepare daily bank reconciliations between the general ledger and bank balances. Work closely with the HCCA Servicing team to provide up to date customer account information in terms of customer payments, refunds and returns. Ensure all incoming and outgoing payments are processed accurately through detailed account-level reconciliations. Assist in Cash Management process improvement initiatives involving customer refunds, credit card payments, dealer funding, dealer/OEM incentive payments and other similar projects. Participate in compliance support activities including external audits, business continuity planning as well as assistance with development and maintenance of policies and procedures. Coordinate and support bank account structure optimization. Maintain and verify monthly bank charges and identify cost reduction initiatives.
Participate in management of short-term revolving funding facilities and securitization facility sale analyses and servicer reporting, and required financial reporting of existing transactions, in an accurate and timely manner. Perform all other duties as assigned.
Work Experience:
Minimum of 2 years of professional experience with demonstrated success in complex content of work Strong technical and analytical competency requirements, including detailed reconciliation experience Recent Treasury/Cash Management experience involving an earning asset portfolio is preferred Experience in Canada laws and environment, payment system and instruments preferred but not required Auto finance, retail banking, or consumer finance industry experience is preferred
Education & Certification:
Bachelor’s degree required – BA/BS in Accounting / Finance / Business / Mathematics / Computer Science
Knowledge, Skills & Abilities:
Strong knowledge of cash forecasting, daily cash positioning and bank reconciliation
Working capital experience preferred Excellent Microsoft Office Suite user; strong Excel proficiency required SQL knowledge preferred Candidate should be able to work in a dynamic, rapid-growth environment, with highly time-sensitive commitments Candidate should be comfortable working with, navigating, and integrating/linking data from different system and databases Strong oral and written communication skills necessary as well as solid time management skills and positive team spirit Must have the ability to challenge, when appropriate, existing practices and continuously improve processes
Hyundai Capital Canada Inc. is committed to acknowledge applications from people with disabilities. Accommodations are available on request for candidates taking part in all aspects of the selection process.
This posting is for an active, existing vacancy. Hyundai Capital Canada is currently hiring for this role and applications are being reviewed as part of a live recruitment process.
Work Experience:
Minimum of 2 years of professional experience with demonstrated success in complex content of work Strong technical and analytical competency requirements, including detailed reconciliation experience Recent Treasury/Cash Management experience involving an earning asset portfolio is preferred Experience in Canada laws and environment, payment system and instruments preferred but not required Auto finance, retail banking, or consumer finance industry experience is preferred
Education & Certification:
Bachelor’s degree required – BA/BS in Accounting / Finance / Business / Mathematics / Computer Science
Knowledge, Skills & Abilities:
Strong knowledge of cash forecasting, daily cash positioning and bank reconciliation
Working capital experience preferred Excellent Microsoft Office Suite user; strong Excel proficiency required SQL knowledge preferred Candidate should be able to work in a dynamic, rapid-growth environment, with highly time-sensitive commitments Candidate should be comfortable working with, navigating, and integrating/linking data from different system and databases Strong oral and written communication skills necessary as well as solid time management skills and positive team spirit Must have the ability to challenge, when appropriate, existing practices and continuously improve processes
Hyundai Capital Canada Inc. is committed to acknowledge applications from people with disabilities. Accommodations are available on request for candidates taking part in all aspects of the selection process.
This posting is for an active, existing vacancy. Hyundai Capital Canada is currently hiring for this role and applications are being reviewed as part of a live recruitment process.
Full job record
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| Org ID | 03c28325-4061-4105-a394-9e83d140b084 |
| Source ID | 0971c186-4036-4704-8b69-1947b075684a |
| Board ID | 0971c186-4036-4704-8b69-1947b075684a |
| Provider | oracle_taleo |
| Provider Job Key | 117566 |
| Title | Treasury Operations Associate |
| Normalized Title | — |
| Status | active |
| Active | yes |
| Location Text | Canada-Ontario-Toronto |
| Department | — |
| Team | — |
| Employment Type | — |
| Workplace Type | — |
| Remote Policy | — |
| Country | Canada |
| Region | ON |
| City | Toronto |
| Salary Raw | $117566 - $117566 false |
| Salary Min | 117,566 |
| Salary Max | 117,566 |
| Salary Currency | USD |
| Salary Period | year |
| Source URL | https://hyundaicapital.taleo.net/careersection/hcca/jobdetail.ftl?job=117566&lang=en |
| Apply URL | https://hyundaicapital.taleo.net/careersection/hcca/jobdetail.ftl?job=117566&lang=en |
| First Seen At | 2026-06-13 13:55:48Z |
| Last Seen At | 2026-06-21 13:53:37Z |
| Last Checked At | 2026-06-21 13:53:37Z |
| Last Changed At | 2026-06-13 13:55:48Z |
| Inactive At | — |
| Source Posted At | — |
| Source Updated At | — |
| Raw Payload Uri | s3://job-postings-prod-raw-590183727216/raw/provider=oracle_taleo/board=hyundaicapital|hcca|en/date=2026-06-21/2026-06-21T13-53-32-438Z-5ae95152c814ab39b72d1b4ce985009a322b1760e218c30b83836f58bb27c6c9.json |
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