Analyst, Treasury – Capital Markets and Corporate Finance

George Weston LimitedToronto, ON
CA$70,000 - CA$85,000Onsite

About The Position

Reporting to the Senior Manager, Capital Markets and Corporate Finance, this role supports the execution of financing strategy, capital allocation, and senior management reporting across the George Weston group of companies. As the successful candidate, you will be provided with the unique opportunity to develop and build your technical and foundational knowledge of key Treasury functions. We believe in building our talent within; creating opportunities for our employees to grow the skills necessary to advance and prosper in future opportunities within the Organization.

Requirements

  • 1–3+ years of experience in treasury, corporate finance, capital markets, or a related field
  • Undergraduate degree in Finance, Accounting, Business, or a related discipline
  • Strong understanding of accounting, capital markets, and corporate financing concepts
  • Working knowledge of capital structure, leverage metrics, and rating agency frameworks (e.g., S&P / DBRS)
  • Experience with financial modeling and multi‑period forecasting
  • Strong quantitative and analytical skills, with advanced Excel capabilities
  • Strong communication and interpersonal skills, with the ability to work effectively across functions

Nice To Haves

  • CPA/CFA (or progress toward) is preferred
  • Experience developing or improving reporting processes or controls is an asset
  • Familiarity with covenant calculations and compliance tracking is an asset

Responsibilities

  • Support analysis on capital allocation strategy, leverage levels, and financing alternatives across the group
  • Contribute to maintaining the three‑year capital structure plan, including scenario analysis across leverage, liquidity, and funding mix
  • Support debt reporting, reconciliation, and definition alignment across internal reporting and external disclosures
  • Assist in monitoring rating agency metrics and constraints, and support transaction readiness (including covenant and policy considerations)
  • Support execution of capital markets activities, including debt, equity, and preferred share issuances
  • Prepare reporting materials and presentations for senior leadership, Board of Directors, and shareholder discussions
  • Contribute to improving treasury reporting processes, ensuring outputs are timely, consistent, and audit‑ready
  • Support forecasting and tracking processes (including Franchise Trust Credit Facility), with a focus on variance analysis and coordination across teams
  • Contribute to strengthening treasury controls, documentation, and compliance processes

Benefits

  • Ongoing opportunities for learning and career development within the Weston companies
  • A competitive compensation and benefits package
  • Employee share ownership program
  • Group RRSP and Pension Program
  • Continuous learning through development reimbursement
  • Strong culture of diversity, equity and inclusivity
  • Commitment to community support, volunteerism and sustainability
  • Recognition and social events
  • Summer hours
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