The Corporate Treasurer is responsible for leading all treasury, financing, cash management, and financial analysis activities across a diversified real estate development and management business headquartered in Kingston, Ontario. Reporting to the Corporate Controller, this role ensures the company maintains the liquidity, capital structure, and financial controls necessary to support operations and a robust pipeline of development projects. The role also integrates core financial planning and analysis functions, including forecasting, budgeting, variance analysis, and reporting. A CPA designation is required.
Treasury & Cash Management
Oversee daily cash positioning, short-term liquidity planning, and rolling cash flow forecasts.
Prepare daily cash reports and journal entries; manage intercompany transfers and receipts.
Manage mortgage and construction loan draws, including borrowing requests, QS reports, and tranche submissions.