Full-time

Corporate Cash Management Analyst

Posted by Chartered Professional Accountants of British Columbia • June 02, 2026

📍 vancouver, metro vancouver regional district, Canada
Apply Now

Description

Manage corporate cash flow and financial analysis as a Corporate Cash Management Analyst. Ensure effective budgeting, reporting, and support for FP&A functions.

As an integral part of the Finance team, you’ll assist in cash management and treasury operations. This position demands a strong foundation in financial principles and the ability to collaborate across various departments to drive strategic objectives and improve financial outcomes.

Key Responsibilities:
• Assist in cash flow and investment forecasting models
• Optimize daily cash management to achieve targets
• Support corporate share administration with documentation
• Participate in budgeting and reforecasts across units
• Analyze financial results for insights and recommendations

Requirements:
• Degree in Finance, Business, or Economics
• 4+ years in financial planning and analysis
• Advanced skills in Excel and financial modeling
...

Ready to Seal the Deal?

Submit your application today and take the next step in your career with Chartered Professional Accountants of British Columbia.

Apply for this Job