This job is no longer available
This job expired on 21/07/2026. It no longer accepts applications.
Trust Accounting & Treasury Manager
Robert Half · Toronto
Job description
About the role
We are looking for an experienced Trust Accounting & Treasury Manager to lead our client’s trust accounting operations and treasury functions. The role ensures regulatory compliance, optimizes cash flow, and supports the firm’s overall financial health.
Key responsibilities
- Administer and reconcile all client trust accounts in line with regulatory and professional standards.
- Review, approve, and monitor trust transactions, disbursements, and transfers.
- Prepare trust‑related reports for internal and external audits and ensure timely month‑end and year‑end reconciliations.
- Develop and improve trust accounting policies, procedures, and internal controls.
- Manage daily cash positioning, liquidity forecasting, and cash‑flow reporting.
- Oversee banking operations, including wire transfers, EFTs, and online banking administration.
- Maintain banking relationships and support treasury negotiations.
- Assist with treasury strategy, short‑term cash planning, and risk‑management initiatives.
- Support implementation and optimization of treasury management systems.
- Supervise and mentor accounting/treasury team members and collaborate with finance, legal, compliance, and operations teams.
Required profile
- 5+ years of progressive accounting and treasury experience, preferably in a professional services or law‑firm environment.
- Strong knowledge of trust accounting regulations and compliance requirements.
- Proven ability to maintain confidentiality and exercise sound judgment.
Required skills
- Advanced Excel
- ERP/accounting systems
- Trust accounting software
- Cash management
- Banking platforms
- Treasury management systems
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Robert Half
Toronto