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Apotex Inc.

Senior Analyst, Global Treasury & Insurance

Apotex Inc.

Senior Analyst for Global Treasury at Apotex managing daily cash position and liquidity reporting. Collaborating globally to achieve Net Debt target and modernizing payment processes.

Posted 7/16/2026full-timeNorth York • 🇨🇦 CanadaSeniorWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates expertise in cash management, liquidity, and treasury operations, with strong analytical capabilities and advanced Excel skills. Proven ability to collaborate with cross-functional teams and maintain accurate financial records.

Highest-signal resume keywords
Cash ManagementTreasury OperationsCash PositioningAdvanced Excel SkillsTreasury Experience

ATS Keywords

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Applicant Tracking System Keywords

Tip: use these terms in your resume and cover letter to boost ATS matches.

Hard Skills
Cash PositioningCash ForecastingBanking PlatformsData AnalysisDisbursement Processing
Soft Skills
Clear CommunicationAttention to DetailOrganizational SkillsIndependent Work
Tools & Technologies
Online Banking Portal
Certifications & Qualifications
CPACTPCIP
Industry Keywords
LiquidityTreasury ManagementCashflow ForecastingBank Account ManagementGlobal Insurance Policy

About the role

Key responsibilities & impact
  • Prepare the daily cash position report for North American (NA) and Rest of World (ROW) entities.
  • Manage the collection of incoming data from NA & ROW entities to ensure accurate and timely receipt and processing for the Net Debt Report
  • Manage the data received from ROW and NA entities for input into the 13 Week Cash Forecast Model.
  • Collaborate with the AP, Rebates, and Royalty teams to set up wires, ACH/EFT, and cheque payment runs efficiently and on time.
  • Maintain a database of templates in the online banking portal to ensure supplier banking information is verified, input, and approved.
  • Assist with the migration initiative to move cheque and wire-paid suppliers and customers to EFT and ACH payment methods.
  • Maintain and assist building Banking relationships and support creation, update, closure of bank accounts & services
  • Procatively assist in gathering and competing data for Global Insurance Policy Renewal

Requirements

What you’ll need
  • Bachelor’s degree in accounting/ finance / management or related field.
  • Designation is asset but not required (CPA or equivalent, or CTP, or CIP)
  • Strong understanding of cash management, liquidity, and treasury operations
  • Proficiency with cash positioning, forecasting, and banking platforms
  • Advanced Excel skills and strong analytical capability
  • High attention to detail and ability to work independently
  • Clear communication skills for working with cross‑functional teams
  • Strong organizational skills and commitment to maintaining accurate records
  • 3-5 years of treasury experience (cashflow forecasting, disbursements, processing, management)

Benefits

Comp & perks
  • Accommodation for applicants with disabilities as part of its recruitment process.