SM

Analyste en trésorerie / Treasury Analyst

Dorval, Montréal
On-site
Full-time
No salary posted1 weeks ago
Employment type
Full-time · On-site
Posted
September 23, 2026
Province
Quebec (QC)

Hiring confidence: Sparse posting · 11/100

This posting is missing most of the signals we look for, or shows patterns common to listings that are not actively being filled. Check with the employer before applying. How this is scored

Job Overview

This is only part of this posting — the job board it came from publishes a short summary. Read the full posting.
À propos de SMARDT Smardt est un chef de file mondial des refroidisseurs centrifuges sans huile et des solutions de gestion thermique écoénergétiques. Présente aux États-Unis, au Canada, en Allemagne, en Chine et en Australie, l’entreprise compte plus de 900 employés et se distingue par son innovation, sa performance et son engagement envers le développement durable. Résumé du Rôle L'analyste de trésorerie soutient la gestion des activités de trésorerie de l'entreprise, contribuant à la prévisi…

This role is based in Quebec. Smardt is hiring for this full-time position through Jobily, where you can check how well your resume matches the posting before you apply.

Market context

About this role in Quebec

Average salary for Analyste en trésorerie / Treasury Analyst in Quebec

We do not have a salary benchmark for this title in Quebec yet. The posting does not state a salary either.

NOC code

This posting has not been matched to a NOC 2021 unit group yet. Use the NOC finder to identify the code from the duties listed above.

Typical qualifications for Canadian employers

  • Bachelor's degree in Finance, Accounting, or related field
  • 2-5 years of treasury or financial analysis experience
  • Strong understanding of cash management and liquidity
  • Proficiency with financial systems and ERP software
  • Bilingual (French/English) preferred

Fit check

Is this role right for you?

Top skills this posting asks for:

  • Treasury management
  • Cash flow forecasting
  • Financial analysis

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What you'll do

  • Support treasury operations and cash management activities
  • Contribute to cash flow forecasting and planning
  • Monitor and optimize liquidity positions
  • Process banking transactions and reconciliations
  • Prepare treasury reports and analysis
  • Support risk management initiatives
  • Maintain banking relationships and documentation
  • Assist with investment and debt management activities
  • Ensure compliance with treasury policies and procedures

What you'll need

  • Bachelor's degree in Finance, Accounting, or related field
  • 2-5 years of treasury or financial analysis experience
  • Strong understanding of cash management and liquidity
  • Proficiency with financial systems and ERP software
  • Bilingual (French/English) preferred
  • Strong analytical and problem-solving skills
  • Excellent attention to detail

About the Company

SM

Smardt