Manager, Treasury

Questrade Financial GroupToronto, ON
CA$115,000 - CA$125,000Hybrid

About The Position

Questrade Financial Group (QFG), through its companies - Questrade, Questbank, Questrade Wealth Management, Community Trust Company, Zolo, and Flexiti, provides securities and foreign currency investment, professionally managed investment portfolios, mortgages, real estate services, financial services and more. We use cutting-edge technology to help Canadians become much more financially successful and secure. At QFG, we combine human-centric collaboration with AI-driven innovation to redefine financial services. The ideal candidate will be a catalyst for change, using AI to transform and deliver unparalleled customer experiences and shaping a future where AI empowers our teams to do their best work. Join our diverse, inclusive, and hybrid workplace to unleash your creativity and nurture your curiosity without limits. If you share this sense of infinite possibility, come shape your future at QFG.

Requirements

  • Have a University degree in Business or Finance; an MBA, CFA, FRM, or CPA designation is preferred.
  • Have a minimum of 5 to 7 years’ experience within a treasury function in progressively more responsible positions in ‘like’ roles
  • Have strong communication skills and the ability to influence
  • Have superior knowledge and exposure to financial markets and funding programs
  • Have an ability to manage multiple projects simultaneously with varied audiences and needs
  • Have a sound understanding of risk management.
  • Have effective attention to detail and a high degree of accuracy.
  • Have a high level of integrity, confidentiality and accountability.
  • Have sound analytical thinking, planning, prioritization and execution skills.
  • Have superior knowledge and exposure in development, implementation and ongoing management of liquidity stress testing

Nice To Haves

  • MBA, CFA, FRM, or CPA designation

Responsibilities

  • Recommending, implementing and maintaining process and documentation improvements for all areas of liquidity, foreign exchange and interest rate risk management.
  • Active participation in Asset Liability Capital Committee (ALCO) and Pricing Committee (PC) meetings. Provide recommendations to both committees with respect to Treasury management matters.
  • Developing treasury strategies for Net Interest Margin (NIM) optimization including but not limited to interest rate hedge programs and managing foreign exchange and basis risk volatility.
  • Implementing and maintaining an effective Funds Transfer Pricing (FTP) framework to provide insight into company-wide performance and P&L attribution.
  • Collaborating with Enterprise Risk Management to develop treasury-related risk policies.
  • Overseeing the production of senior management and regulatory reporting.
  • Contributing to strategies to manage and optimize liquidity, capital and interest rate risk.
  • Being an active contributor to the development of pricing strategies related to deposit sources that support funding and balance sheet management objectives, and mortgage origination and renewals programs.
  • Providing Treasury support for new products and initiatives as required.

Benefits

  • Health & wellbeing resources and programs
  • Paid vacation, personal, and sick days for work-life balance
  • Competitive compensation and benefits packages
  • Competitive incentive (bonus) program
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