Accounting & Finance

Treasury Analyst - Cash Flow & Liquidity Strategy

starlightinvest.com

Remote · Nationwide · Canada

Starlightinvest.com is seeking a senior Treasury professional to lead liquidity planning, cash management, and forecasting to support growth. The role involves optimizing cash flow, coordinating bank access, and managing debt and treasury processes across portfolios.

The position requires a finance-focused degree, CPA/CFA designation or equivalent experience, and expertise in financial modeling and cash management tools like Kyriba and Yardi. Real estate treasury exposure is a plus.

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Reference: WJ-4703_8915129

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