Senior Analyst, Treasury

MLSE (Maple Leaf Sports & Entertainment Partnership)Toronto, ON
CA$80,000 - CA$85,000

About The Position

At MLSE, you'll join a Finance team that plays a critical role in supporting one of Canada's most recognized sports and entertainment organizations. You'll have the opportunity to influence strategic financial decisions, work alongside talented colleagues across the business, and contribute to projects that support iconic teams, venues, and experiences enjoyed by millions of fans. We invest in our people through professional development, meaningful work, and an inclusive culture where everyone can bring their authentic selves to work. Reporting to the Senior Director, Financial Reporting, the Senior Analyst, Treasury is responsible for overseeing treasury accounting, cash management, and financial controls across MLSE’s multi-entity operations. This role plays a key part in ensuring accurate financial reporting, optimizing liquidity, and maintaining internal controls in a dynamic, high-volume environment. The position requires a strong technical accounting foundation combined with hands-on treasury experience and the ability to partner cross-functionally across finance and business teams.

Requirements

  • Bachelor’s degree in Accounting, Finance, or related field
  • 3–5+ years of progressive experience in treasury, accounting, or corporate finance
  • Strong understanding of cash management, banking operations, and financial controls
  • Experience with ERP systems (e.g. Oracle Cloud Fusion) and advanced Excel skills
  • Solid knowledge of accounting standards (IFRS)

Nice To Haves

  • Progress towards or completion of CPA, CFA, or CTP designation
  • Experience in a multi-entity and multi-currency environment
  • Exposure to treasury management systems (e.g. Treasura)
  • Experience supporting audits and internal control frameworks (SOX)

Responsibilities

  • Review and support Canadian and US cash forecasts, ensuring accuracy and alignment with operational needs
  • Manage banking activities including wires and EFTs
  • Manage cash vault operations supporting teams and business needs
  • Optimize cash utilization and recommend improvements to working capital management
  • Support cash and treasury need for finance and other departments
  • Lead treasury-related accounting, including journal entries, accruals, and reconciliations
  • Own bank reconciliations and ensure timely resolution of discrepancies
  • Support month-end, quarter-end, and year-end close processes
  • Ensure compliance with IFRS/GAAP for treasury-related transactions
  • Prepare internal reporting packages related to cash, debt, and liquidity
  • Maintain and enhance internal controls over cash, payments, and banking access
  • Ensure compliance with SOX (if applicable) and internal audit requirements
  • Act as a key contact for external auditors on treasury-related matters
  • Liaise with internal teams (Accounting, FP&A, Tax, Legal, Operations) to support cash flow planning and execution
  • Assist in evaluating banking products, fees, and service structures
  • Identify and implement process improvements and automation opportunities
  • Support or lead treasury system initiatives (e.g. Treasura, Oracle Cloud Fusion)
  • Improve reporting, forecasting models, and reconciliation processes
  • Act as a subject matter expert for treasury processes within the finance team
  • Contribute to cross-functional projects and finance transformation initiatives

Benefits

  • Bonus
  • vacation
  • competitive benefits
  • many exciting perks
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