Resume Score

Check how well your resume matches this job before you apply.

Sign in to check score

About the role

  • Associate Director leading global treasury, cash forecasting, banking, and controls for WES. Supporting immigrants, refugees, and international students through credential evaluation and social-impact programs.

Responsibilities

  • Lead global treasury operations across all entities, including daily cash positioning, liquidity management, cash transfers, pooling structures, and capital optimization
  • Develop and maintain the global working capital model, including cash balance reporting, weekly working capital analysis, cash flow visibility, and cash optimization
  • Own short-term and long-term cash forecasting with FP&A, Controllership, Investments, and Finance leadership
  • Support operating decisions, investment planning, funding needs, and liquidity strategy
  • Oversee global banking operations, bank relationships, account setup and maintenance, banking documentation, authorized signers, user access, bank portal administration, and global account structures
  • Lead, mentor, and develop the treasury function and establish best practices
  • Govern treasury controls, segregation of duties, payment approvals, dual controls, fraud prevention, bank access governance, signatory management, access reviews, risk assessments, issue tracking, and remediation
  • Oversee cash disbursement governance, including ACH, wire, international payments, internal transfers, and payment approvals
  • Monitor and optimize cash inflows and outflows, including accounts payable disbursements and payroll cash requirements
  • Drive automation and integration of banking and treasury systems with the ERP, including bank feeds, host-to-host connections, bank-to-bank integrations, automated reporting, and process improvements
  • Report to the Chief Financial Officer and partner with FP&A, Controllership, Investments, and external financial institutions

Requirements

  • Bachelor’s degree in finance, accounting, business, or related field or equivalent work experience
  • 5–8 years of experience in treasury, cash management, or corporate finance
  • Experience managing global treasury operations across multiple entities or geographies
  • Experience leading or managing a team
  • Proven ability to partner with senior leadership and cross-functional business partners
  • Ability to work in a fast-paced, collaborative, and dynamic team environment
  • Ability to operate autonomously while being a team player
  • Strong alignment with WES mission and values and a growth mindset
  • Sage Intacct and/or other cloud-based ERP systems experience preferred
  • Vena budgeting software experience preferred
  • Systems integration and transformation experience desired
  • Certified Treasury Professional (CTP) preferred
  • Experience in a nonprofit, social enterprise, or mission-driven organization desired

Benefits

  • Remote work and flexible scheduling
  • Generous time-off policies
  • Comprehensive wellness programs
  • Comprehensive benefits
  • Tangible rewards and recognition
  • Learning opportunities and pathways for personal and professional development
  • Tuition reimbursement opportunities
  • Comprehensive training programs
  • Employee-led resource groups
  • Town halls and collaborative team events
  • Meaningful volunteer opportunities
  • Inclusive, mission-driven, employee-centric culture
  • Potential travel to the New York or Toronto office 2–3 times per year

Job title

Job type

Full Time

Experience level

Senior

Salary

CA$102,000 - CA$135,000 per year

Degree requirement

Bachelor's Degree

Tech skills

CloudERP

Location requirements

RemoteCanada

Report this job

Found something wrong with the page? Please let us know by submitting a report below.