Full-time

Treasury Manager at The Mason Group

Posted by The Mason Group - Strategic Search Partners • June 09, 2026

📍 mississauga, peel region, Canada
Apply Now

Description

Drive effective treasury operations at The Mason Group as a Treasury Manager. Lead cash management, oversee bank relationships, and ensure compliance with financial regulations in this key role.
As the Treasury Manager, you will supervise day-to-day treasury activities, direct cash inflow and outflow, and manage banking transactions. This position requires in-depth knowledge of cash flow forecasting, investment portfolio analysis, and procurement functions. Collaborating closely with the Director of Corporate Finance, you will act as a trusted advisor to various teams.
Key Responsibilities:
• Oversee daily cash management and liquidity planning
• Lead cash position forecasting and liquidity metrics calculation
• Ensure timely reconciliation of all bank accounts
• Manage the Procure to Pay function and related transactions
• Draft financial statements for audits and endowment reporting
Requirements:
• University degree in related field such as B. Comm or MBA

Ready to Seal the Deal?

Submit your application today and take the next step in your career with The Mason Group - Strategic Search Partners.

Apply for this Job