Posted 3mo ago

Treasurer

@ Questrade Financial Group
Toronto, Ontario, Canada
HybridFull Time
Responsibilities:funding strategy, risk management, lead treasury
Requirements Summary:Senior treasury leader with 12-15 years in treasury, capital markets, ALM; CPA/CTP strongly preferred; MBA/CFA advantageous; regulatory knowledge in Canadian securities and liquidity risk.
Technical Tools Mentioned:Treasury Management System, Microsoft Excel, Financial Modelling, ERP
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Job Description

Questrade Financial Group (QFG), through its companies - Questrade, Inc., Questrade Wealth Management Inc., Community Trust Company, Zolo, and Flexiti Financial Inc., provides securities and foreign currency investment, professionally managed investment portfolios, mortgages, real estate services, financial services and more. Questrade uses cutting-edge technologies to develop innovative products that give customers better, more affordable ways to take control of their money. 
 
We are everything a traditional financial institution is not. At QFG, you will be constantly moving forward, bringing the future of fintech into existence. You will be a part of a collaborative team that cares deeply about our mission and each other. Your team members will help you conquer challenges, push boundaries and discover what you are truly capable of.
 
At QFG, we have a culture of innovation where technology serves people—both our team and our customers. We see AI as a collaborative and transformative enabler, and we are seeking forward-thinking individuals who can effectively integrate it into their daily work. The ideal candidate will be a catalyst for change, helping us use AI to create a more efficient and rewarding employee experience while also developing cutting-edge solutions that delight and serve our customers. Join us in shaping a future where AI empowers our team to do their best work and helps us deliver unparalleled customer experiences. 

This is a place where you can explore, discover and learn with continuous growth. As a diverse and inclusive place to work, with a hybrid working environment you can unleash your creativity and curiosity with no limits. If you share the same sense of infinite possibility, come shape your future at QFG.

 

What’s in it for you as an employee of QFG?

  • Health & wellbeing resources and programs

  • Paid vacation, personal, and sick days for work-life balance

  • Competitive compensation and benefits packages

  • Work-life balance in a hybrid environment with at least 3 days in office

  • Career growth and development opportunities

  • Opportunities to contribute to community causes

  • Work with diverse team members in an inclusive and collaborative environment

We’re looking for a Treasurer. Could It Be You?

The Treasurer reports directly to the Brokerage Chief Financial Officer (CFO) and is responsible for centralized Treasury management and the enterprise-wide financial risk framework (including liquidity, interest rate, and foreign exchange risk). This role provides strategic direction, oversight, and counsel on all matters related to corporate funding, cash management, short-term investments, and the group's overall capital plan, ensuring adherence to internal controls and regulatory compliance.

 

Need more details? Keep reading…

The Treasurer's responsibilities involve strategic oversight, leadership, and execution across the enterprise:

  • Capital & Funding Strategy: Develop and execute the enterprise-wide capital management strategy, funding plans, and debt management activities. Oversee the day-to-day running and optimization of the group's funding structure across all entities.
  • Financial Risk Management: Establish and maintain a Brokerage wide financial risk management framework for liquidity, interest rate risk (IRR), and foreign exchange (FOREX) exposure.
  • Liquidity & Investment: Provide strategic direction for the management of corporate cash and short-term investments to maximize returns while maintaining required regulatory and operational liquidity
  • Relationship Management: Lead strategic relationships with banks, and financial institutions, maintaining all bank mandates and corporate accounts.
  • Strategic Input: Provide expert Treasury input into the corporate financial budgeting, forecasting processes , and assist in producing funding plans for new business ventures and/or acquisitions.
  • Team Leadership: Lead, mentor, and manage the Treasury team, including the Director, Treasury Operations, ensuring effective performance management and talent development.
  • Operational Excellence: Direct the implementation and maintenance of robust Treasury Management Systems (TMS) and internal controls, recommending and implementing improvements to cash management processes.

So are YOU our next Treasurer? You are if you…

  • Hold a university degree in Finance, Business, or a related field. An MBA, CFA, or CPA designation is strongly preferred.
  • Have a minimum of 12-15 years of progressively senior experience within a Treasury function, with significant experience in a Broker-Dealer or regulated financial services environment managing cash, debt, and investments [Elevated from 10+ years in ].
  • Have extensive knowledge of capital markets, funding programs, and asset/liability management (ALM) principles.
  • Hold a Certified Treasury Professional (CTP) designation ( highly desirable).
  • Have  In-depth knowledge of the Canadian securities industry, including IIROC rules and regulations. Sound understanding of regulatory requirements related to liquidity and risk management for a deposit-taking institution (given the focus on CTC in ).
  • Have demonstrated ability to develop long-term capital and risk strategies that align with the firm’s growth objectives.
  • Have strong influencing, negotiation, and communication skills sufficient to present and defend complex financial strategies to the CFO, CEO, Board, and external partners.
  • Have a deep expertise in managing financial market risks (Liquidity, Interest Rate, FOREX) in a regulated environment.
  • Have proven experience in managing, developing, and motivating a high-performing financial team.
  • Have proven ability to partner with internal stakeholders such as Brokerage Operations, Technology, and Legal to optimize workflows and processes.

Sounds like you? Click below to apply!

#LI-KS2 | #LI-Hybrid

At Questrade Financial Group of Companies, with multiple office locations around the world, we are committed to fostering a diverse, inclusive and accessible work environment. This is an environment where individuals are treated with dignity and respect. Here, the unique skills and experience you bring will be valued. You will be supported and motivated, so that you can harness your unlimited potential. Our team reflects the diversity of the communities we serve and operate in. Having a collaborative and diverse team helps us push boundaries to bring the future of fintech into existence—not only for the benefit of our customers, but for those who build their career with us. 

 

Questrade Financial Group of companies Applicant Tracking System utilizes artificial intelligence (AI) for application screening. The AI system operates on predetermined criteria, with final decisions subject to human review. 

 

Candidates selected for an interview will be contacted directly. If you require accommodation during the recruitment/selection process, please let us know and we will work with you to meet your needs.