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Project Manager (Cash Management) - Gestionnaire de Projet (Gestion de Trésorerie)
- Montreal, Québec, Canada
- Montreal, Québec, Canada
Über
Job Title: Project Manager (Cash Management)
Job Location: Montreal, QC
Job Type: Contract
Job Description:
Requirement/Must Have:
- Minimum 5 years of relevant project management and business analysis experience.
- Experience working in project-driven environments.
- Strong understanding of international payments ecosystems.
- Ability to collaborate effectively with IT, Operations, Legal, Compliance, and Business teams.
- Strong written and verbal communication skills in English.
- Excellent stakeholder management and coordination skills.
- Strong organizational, analytical, and problem-solving abilities.
- Experience supporting governance and executive-level reporting activities.
Experience:
- Experience supporting large-scale business transformation or cash management initiatives.
- Experience preparing project roadmaps, KPIs, financial reports, and executive presentations.
- Experience managing risks, issues, quality, and governance processes.
- Experience defining business needs and supporting product vision initiatives.
- Experience coordinating demand-to-delivery processes and cross-functional delivery teams.
- Experience supporting go-to-market activities and operational model design.
- Experience working in banking, financial services, or cash management environments preferred.
Responsibilities:
- Support the Program Manager in coordinating program activities and stakeholder alignment.
- Assist in preparing deliverables including roadmaps, KPIs, financial reports, and governance documentation.
- Support executive committees and management reporting activities.
- Take ownership of assigned initiatives and project activities.
- Define and support product vision and business requirements.
- Facilitate governance meetings and stakeholder communication.
- Align product teams with central IT and operational teams.
- Manage project risks, quality issues, and escalation processes.
- Support go-to-market planning and execution activities.
- Serve as liaison between stakeholders to ensure customer satisfaction.
- Support the design of target operating models for Cash Management operations and servicing.
- Coordinate with cross-functional teams to support portfolio and product development initiatives.
Should Have:
- French language skills preferred.
- Experience within Cash Management, Trade Finance, or Banking Operations.
- Experience working in international or global organizations.
- Strong presentation and executive communication skills.
Skills:
- Project Management.
- PMO Support.
- Cash Management.
- Business Analysis.
- Stakeholder Management.
- Governance and Reporting.
- International Payments.
- Risk and Issue Management.
- Financial Services Operations.
- Cross-functional Collaboration.
Qualification and Education:
- Bachelor’s degree in Business, Finance, Information Technology, or related field preferred.
- Equivalent professional experience may be considered
=========================
Titre du poste : Gestionnaire de Projet (Gestion de Trésorerie)
Lieu du poste : Montréal, QC
Type d’emploi : Contrat
Description du poste :
Exigences / Compétences obligatoires:
- Minimum de 5 ans d’expérience pertinente en gestion de projets et en analyse d’affaires.
- Expérience dans des environnements axés sur les projets.
- Bonne compréhension des écosystèmes de paiements internationaux.
- Capacité à collaborer efficacement avec les équipes TI, Opérations, Juridique, Conformité et Affaires.
- Excellentes compétences en communication écrite et orale en anglais.
- Excellentes aptitudes en gestion des parties prenantes et en coordination.
- Solides capacités organisationnelles, analytiques et de résolution de problèmes.
- Expérience dans le soutien des activités de gouvernance et de production de rapports destinés à la direction.
Expérience:
- Expérience dans le soutien d’initiatives de transformation d’affaires à grande échelle ou de gestion de trésorerie.
- Expérience dans la préparation de feuilles de route de projets, KPI, rapports financiers et présentations exécutives.
- Expérience dans la gestion des risques, des enjeux, de la qualité et des processus de gouvernance.
- Expérience dans la définition des besoins d’affaires et le soutien des initiatives de vision produit.
- Expérience dans la coordination des processus de la demande à la livraison ainsi que des équipes de livraison interfonctionnelles.
- Expérience dans le soutien des activités de mise en marché et de conception de modèles opérationnels.
- Expérience dans les secteurs bancaires, des services financiers ou de la gestion de trésorerie préférée.
Responsabilités:
- Soutenir le gestionnaire de programme dans la coordination des activités du programme et l’alignement des parties prenantes.
- Participer à la préparation des livrables incluant les feuilles de route, KPI, rapports financiers et documents de gouvernance.
- Soutenir les comités exécutifs et les activités de reddition de comptes à la direction.
- Assumer la responsabilité des initiatives et activités de projets assignées.
- Définir et soutenir la vision produit et les exigences d’affaires.
- Animer les réunions de gouvernance et assurer la communication avec les parties prenantes.
- Aligner les équipes produit avec les équipes TI centrales et opérationnelles.
- Gérer les risques de projet, les enjeux de qualité et les processus d’escalade.
- Soutenir les activités de planification et d’exécution de mise en marché.
- Agir comme point de liaison entre les parties prenantes afin d’assurer la satisfaction des clients.
- Soutenir la conception des modèles opérationnels cibles pour les opérations et services de gestion de trésorerie.
- Coordonner avec des équipes interfonctionnelles afin de soutenir les initiatives de portefeuille et de développement de produits.
Atouts:
- Connaissance de la langue française préférée.
- Expérience en gestion de trésorerie, financement commercial ou opérations bancaires.
- Expérience dans des organisations internationales ou mondiales.
- Excellentes compétences en présentation et en communication exécutive.
Compétences:
- Gestion de projet.
- Soutien PMO.
- Gestion de trésorerie.
- Analyse d’affaires.
- Gestion des parties prenantes.
- Gouvernance et production de rapports.
- Paiements internationaux.
- Gestion des risques et des enjeux.
- Opérations de services financiers.
- Collaboration interfonctionnelle.
Qualifications et formation:
- Baccalauréat en administration des affaires, finance, technologies de l’information ou domaine connexe préféré.
- Une expérience professionnelle équivalente pourra être considérée.
Sprachkenntnisse
- French
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