Home Trust Company has developed a track record of success as Canada's leading alternative lender, employing nearly 800 people in our Toronto headquarters and branches across the country. Building on the demonstrated strength of its core residential mortgage lending business, the Company also offers complementary lending services, as well as highly competitive deposit investment products, through Oaken Financial. Our culture has been shaped by the passion and integrity of our people. Home Trust is a private company.
FIRST THING - WHAT YOU NEED TO SUCCEED?
We are looking for individuals who are dedicated, passionate, and driven to execute with excellence!
WE CARE ABOUT OUR EMPLOYEES WELL-BEING, WHAT WE OFFER:
Base salary, with yearly incentive performance bonus
Three (3) weeks of vacation, an additional six (6) flex days (sick or personal) in addition to statutory holidays
Comprehensive benefit packages, offered through Manulife
Group Retirement Savings Plan (GRSP) up to 8% contribution program & employer match
$1000 Employee Referral Program
Employee Discounts; phone plans, gym membership, Toronto Bike Share and many retailer discounts offered through WorkPerks
Education Assistance program
ABOUT THE ROLE:
The Analyst, Treasury is responsible for day-to-day cash and liquidity management of the Company. The analyst assists the Manager, Treasury and VP, Treasury with ensuring that the Company's ongoing business activities are adequately funded. This includes deposit funding, securitization activities and various Capital Market initiatives. In addition, the Analyst is responsible for ensuring compliance with legislative/regulatory requirements applicable to Treasury, developing and documenting appropriate compliance controls, and maintaining knowledge of compliance requirements of the business unit. The Analyst is responsible for various management and ad hoc reporting on a timely basis.
In addition:
Assist with daily cash management activities, including projecting daily cash requirements, executing trades, monitoring market risk exposures and limits
Enhance portfolio yield by investing excess cash in ALCO approved money market instruments
Ensure trades/investments are booked and investigate any settlement issues
Forecast future funding requirements and recommend appropriate funding strategies to the VP, Treasury
Measure company-wide liquidity risk using approved internal models
Ensure that the company maintains adequate liquidity at all times, and recommend appropriate corrective action if necessary
Provide risk governance by reviewing key assumptions, backtesting model results, etc
Perform liquidity stress testing
Ensure all relevant Treasury activities are communicated to Market Risk
Monitor and report Treasury's Key Performance Indicator (KPI) and Key Risk Indicator (KRI) to the internal risk group
Track, measure and report Treasury's Operational Risk and escalate any Operational Risk Events to Risk group
Develop and document appropriate Compliance controls and maintain knowledge of Compliance
requirements for Treasury
Monitor internal audit findings & recommendations and work closely with team members to resolve any
outstanding findings
Generate various reports that assists in managing business within internal policy framework
Provide guidance or support to other internal groups in developing reports impacting Treasury
WHAT WE REQUIRE:
Authorized to work in Canada
Excellent written / verbal communication and professional maturity
Post-secondary degree or diploma, preferably in business management, finance, or related field (university an asset)
1 year of experience
Excel/PPT/Word, CFA would be an asset
PREREQUISITE
: Maintain a positive supportive attitude, help to maintain an inclusive and supportive company culture!
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