Associate, Global Markets & Treasury

TEKsystemsToronto, ON
CA$89,000 - CA$109,000Hybrid

About The Position

Our client, a leading financial institution, is seeking a Sales Associate to join its Global Markets & Treasury team in Toronto. This role supports Foreign Exchange (FX) and Money Market business activities while working closely with traders, clients, corporate banking partners, operations, settlements, compliance, and legal teams. The successful candidate will support day-to-day client coverage, trade execution, market commentary, treasury product support, and operational coordination. This is an excellent opportunity to gain exposure to institutional and corporate clients while developing expertise across global markets products and treasury solutions.

Requirements

  • 2+ years of experience in Foreign Exchange (FX) sales, trading support, treasury, or a related capital markets environment.
  • Experience with Money Market products, including REPO transactions.
  • Knowledge of Fixed Income products and market fundamentals.
  • Understanding of trade settlement processes and operational workflows.
  • Familiarity with collateral management concepts and processes.
  • Banking or Financial Services industry experience.
  • Strong client-facing, communication, and relationship management skills.
  • Understanding of Canadian banking regulations and industry practices.
  • Strong attention to detail, organizational skills, and ability to manage multiple priorities.

Nice To Haves

  • Experience supporting institutional or corporate treasury clients.
  • Exposure to global markets, treasury products, or capital markets operations.
  • Knowledge of liquidity management and short-term funding products.

Responsibilities

  • Support and service corporate and institutional clients across Foreign Exchange (FX) and Money Market products.
  • Execute FX and Money Market transactions through various communication and trading channels.
  • Build and maintain strong client relationships by understanding treasury, liquidity, and funding requirements.
  • Coordinate with internal stakeholders including Trading, Operations, Settlements, Compliance, Legal, and Corporate Banking teams.
  • Monitor market events, economic indicators, interest rate developments, and market activity to support client discussions.
  • Assist with cash management, collateral management, and credit-related processes.
  • Support trade settlement and operational workflows to ensure timely and accurate execution.
  • Maintain compliance with regulatory requirements, internal policies, and risk management standards.
  • Provide exceptional client service while supporting business growth initiatives.
  • Contribute across multiple business functions within a collaborative and fast-paced environment.

Benefits

  • Opportunity to join a highly respected Global Markets & Treasury platform.
  • Broad exposure across FX, Money Markets, Fixed Income, treasury products, operations, settlements, and client relationship management.
  • Collaborative team environment with opportunities to learn and develop across multiple business functions.
  • Direct exposure to experienced markets and treasury professionals.
  • Strong potential for professional growth within a dynamic and fast-paced financial services environment.
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