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Analyst in Cash Management at Fiera Capital

Fiera Capital

Become an integral part of Fiera Capital as an Analyst in Cash Management, focusing on reconciliation and client service in a hybrid workplace. This role combines financial expertise and strong communication skills to enhance operational efficiency. Working closely with the Manager of Portfolio Administration, you will support both internal teams and external partners. Your key tasks will involve cash balance calculations, transaction reconciliations, and generating insightful reports to drive improvements and resolve discrepancies. Key Responsibilities:

  • Calculate and report daily cash balances
  • Perform daily reconciliations of transactions
  • Work with teams to resolve discrepancies effectively
  • Enter and reconcile transactions in systems
  • Support audits and prepare reconciliation reports
Requirements:
  • Minimum 3-5 years in relevant financial roles
  • Bachelor’s degree in Finance, Economics, or similar
  • CFA or similar certificates are advantages
  • Strong understanding of global markets and cash principles
  • Effective bilingual communication skills in English and French
Leverage your analytical abilities and attention to detail to support Fiera Capital's cash management processes. #J-18808-Ljbffr

Vacancy posted more than 2 months ago

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