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Maple Leaf Sports & Entertainment

Senior Analyst, Treasury

Posted Yesterday
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In-Office
Toronto, ON, CAN
Senior level
In-Office
Toronto, ON, CAN
Senior level
The Senior Analyst, Treasury oversees treasury accounting, cash management, reconciliations, and internal controls across multi-entity operations. Responsibilities include forecasting, banking operations, month/quarter/year-end close support, audit liaison, and process/system improvements (e.g., Treasura, Oracle Cloud Fusion). The role partners cross-functionally to optimize liquidity and working capital, supports SOX/internal audit requirements, and mentors finance team members.
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Powered by Passion. United by Purpose. Build for Impact. 


At Maple Leaf Sports & Entertainment Partnership (MLSE), we exist to deliver the ultimate fan experience by lifting trophies, spirits, and communities – united as one. 


We're more than a workplace. We are a team of passionate people, boldly building the future of sport and entertainment, together. We believe in the power of play, the strength of collaboration, and the energy that comes from showing up with purpose. 


From the ice to the pitch, the hardwood to the digital arena, we’re proud to be the driving force behind the Toronto Maple Leafs (NHL), the Toronto Raptors (NBA), Toronto FC (MLS), Toronto Argonauts (CFL) and development teams with the Toronto Marlies (AHL), Raptors 905 (NBA G League), Toronto FC II (MLS NEXT Pro League) and Raptors Uprising Gaming Club, the Toronto Raptors Esports franchise in the NBA 2K League.  


We bring these teams – and world-class entertainment – to life at our iconic venues, including Scotiabank Arena, BMO Field, Coca-Cola Coliseum, Ford Performance Centre, BMO Training Ground, and OVO Athletic Centre. Off the field, we serve up elevated dining at e11even, Real Sports, and our signature club spaces like Hot Stove Club, ScotiaClub, and Platinum Club. 


Through MLSE Foundation and MLSE LaunchPad, we use the power of sport to help youth facing barriers reach their full potential. Since 2009, we’ve invested more than $45 million into Ontario communities -- and we’re just getting started.  


This is what it means to be One MLSE: a culture where everyone plays a role, everyone belongs, and everyone contributes to something bigger than themselves. 


So, if you're ready to play with purpose, grow with passion, and win as one, we’d love to have you on our team. 

** We know that great candidates come from a variety of backgrounds and experiences. Even if you do not meet every qualification listed, we encourage you to apply. Your unique perspective, transferable skills, and lived experience may be exactly what we’re looking for. **

Job Description

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.  


RESPONSIBILITIES  


Treasury Operations & Cash Management  

  • 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  

Treasury Accounting & Reporting  

  • 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  

Controls, Compliance & Audit  

  • 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  

Banking & Stakeholder Management  

  • 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  

Process Improvement & Systems  

  • 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  

Leadership & Mentorship  

  • Act as a subject matter expert for treasury processes within the finance team  
  • Contribute to cross-functional projects and finance transformation initiatives  

QUALIFICATIONS  

  • 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)  
  • Preferred Qualifications / Experience  
  • 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)  

Please apply by:  Wednesday, July 22 


Job Posting Compensation Range/Rate:

$80,000 - 85,000 

Bonus, vacation, competitive benefits, and many exciting perks are also included. 

We’re glad you’re here. Once you apply, we’ll follow up by email, and you can track everything in your Candidate Portal. Want instant updates? Opt-in for SMS notifications to stay in the loop. 

 

At MLSE, we are committed to building an equitable, diverse and inclusive organization. We are an equal opportunity employer, and we do not discriminate on the basis of race, religion, color, national origin, sex, gender, gender expression, sexual orientation, age, marital status, veteran status, or disability status. MLSE will provide reasonable accommodation for qualified individuals with disabilities in the job application process. If you have difficulty using our online application system and you need an accommodation due to a disability, please email [email protected]. This email is only for accommodation requests. Resumes sent to this email address will not be considered. 

HQ

Maple Leaf Sports & Entertainment Toronto, Ontario, CAN Office

Toronto, Ontario, Canada

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