Pay Rate: $45
Location: Toronto ON
Job Type: Contract
Our client, a major Canadian Financial Institution, is expanding its Cash Management Team to support a large, bank-wide liquidity and cash management transformation. Treasury leads the initiative, while this team is responsible for day-to-day cash execution, funding, and cash position management across Capital Markets and the broader bank.
This is a hands-on role within a growing team (currently ~10, expected to double) supporting both business-as-usual cash management operations and a new cash management platform implementation.
The Key Responsibilities include the following;
- Monitor and manage cash positions to ensure timely settlement of trades
- Execute cash movements, funding, and short-term investments to optimize liquidity
- Manage credit lines, thresholds, and liquidity guardrails in line with OSFI requirements
- Support cash management system implementation, including vendor RFP, requirements, and testing
- Analyze cash flows for capital markets products (derivatives, fixed income, swaps)
- Partner with Treasury, Capital Markets, Technology, and Operations teams
- 3+ years in Cash Management, Liquidity, or Capital Markets Operations
- Strong understanding of settlement and cash flow management in a Canadian financial institution
- Experience with capital markets products (derivatives, fixed income, swaps)
- Exposure to systems such as Calypso, Wall Street, Global One, or similar
- Experience supporting system implementations or change initiatives is an asset
Other opportunities can be viewed at www.ifg-global.com.

