Accounting & Finance

Treasury Specialist: Cash Flow & Banking Operations

cirquedusoleil

Montreal (Administrative Region) · Quebec · Canada

Cirque du Soleil Entertainment Group is seeking a Treasury Coordinator to join our Finance and Accounting team in a permanent role. You will monitor cash flows and bank balances, coordinate bank account openings/closings, and handle KYC documentation.

You will also manage authorized signatories changes and perform bank due diligence. You will participate in month-end tasks, contribute to internal/external reports, and support the treasury team in a dynamic environment.

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Reference: WJ-3875_12293300

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