About the role
Your New Company A leading Canadian real estate investment and asset management organization is seeking a Financial Analyst to join its Treasury & Finance team on a contract basis. With a strong portfolio of high-quality commercial properties and a reputation for operational excellence, the organization offers an exciting opportunity to gain exposure across treasury, finance, and investor relations functions. This is an excellent opportunity for an early-career finance professional looking to broaden their experience within a collaborative and fast-paced corporate environment.
Your New Role As the Financial Analyst, you will support the Treasury, Finance, and Investor Relations teams through a variety of analytical, administrative, and coordination responsibilities. Reporting to the Manager, Treasury & Finance, you will assist with cash management activities, financing processes, banking administration, reporting, and investor relations initiatives. This is a hybrid role based in Toronto, requiring 3 days per week onsite. Standard business hours are Monday to Friday, 9:00 AM to 5:00 PM, with some flexibility. Key Responsibilities Assist with daily cash management activities and treasury operations Monitor corporate bank accounts, including account openings and closures Prepare and process wire payments Code and process invoices Support quarterly treasury reporting deliverables Prepare loan renewal notices and coordinate internal approvals and external delivery Assist with ad hoc treasury-related projects and initiatives Support financing activities including equity transactions, mortgages, unsecured debentures, and credit facilities Coordinate with Accounting, Legal, and other internal stakeholders regarding AML/KYC requirements and ownership structures Maintain and organize financing documentation and electronic records Assist with administrative aspects of financing transactions Monitor and track changes to company units and unitholder information Conduct REIT peer research and industry comparisons Support the preparation of investor-related materials and reporting initiatives
What You'll Need to Succeed Diploma or Degree in Finance, Accounting, Business, or a related field 1–2 years of relevant finance, treasury, banking, accounting, or corporate administration experience Experience with treasury operations, banking administration, AML/KYC processes, invoice processing, or financing support Strong analytical and problem-solving skills Excellent organizational skills and attention to detail Ability to manage multiple priorities and work within tight deadlines Strong verbal and written communication skills Advanced proficiency with Microsoft Excel and working knowledge of Outlook, Word, and PowerPoint A proactive, hands-on approach and willingness to learn Nice to Have Experience working within a public company environment Commercial real estate or REIT industry experience Exposure to financing transactions, treasury reporting, or investor relations Experience using ERP systems
What You'll Get in Return Competitive hourly compensation Potential opportunity for contract extension or long-term employment Hybrid work environment with free onsite parking Broad exposure across treasury, finance, and investor relations functions Opportunity to work closely with senior finance professionals and cross-functional stakeholders Supportive and collaborative team environment
What you need to do next If you're interested in this opportunity, click Apply Now to submit your resume, or contact us directly for more information. If this position isn't quite right but you are open to exploring new opportunities within finance, treasury, accounting, or financial analysis, please get in touch for a confidential discussion