Corporate Treasury Reporting Analyst

0000050007 Royal Bank of Canada

Toronto, Ontario, Canada
Full time
Posted March 23, 2026

Job Description

Job Description

WHAT IS THE OPPORTUNITY?Join RBC's U.S. Corporate Treasury function as a key analytical resource supporting the production and enhancement of cash flow forecasting daily reporting. In this role, you will ensure accurate and timely production of short-term and long-term cash flow projections that maintain compliance with Federal Reserve Regulation YY and support liquidity management objectives. You will work on a forecasting model, continuously refining assumptions and methodology while maintaining data integrity across our forecasting framework—making a direct impact on treasury risk management.WHAT WILL YOU DO?
  • Produce and maintain daily 30-day short-term and monthly 12-month long-term cash flow projections across multiple legal entities, ensuring timely distribution to key stakeholders.
  • Perform variance analysis and back-testing to support forecast accuracy and methodology refinement, investigating variances exceeding established thresh...