Range logo - Administrator, Treasury Services

    Administrator, Treasury Services

    Range
    Kensington Back Office
    Finance & Strategy - Kensington
    Finance & Accounting
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    Job Description

    At Range Group we believe in the power of the professional travel advisor. We represent over $4.5 billion in annual travel sales. All our investments stem from a common thesis, that travel advisors add real value to a trip. Travel advisors when equipped with technology and 24/7 support are irreplaceable. Equally important is our philanthropy. Range Foundation channels 10% of group profits to social impact. From exploration grants, improved access to education, new discoveries on sea and land, cultural infrastructure, and helping our global neighbors in times of need — we are investing to build a better future.

    Administrator, Treasury Services

    The Administrator, Treasury Services is a hands-on role responsible for executing the day-to-day treasury operations of the company and its subsidiaries. Reporting to the VP, Finance, this role carries out cash management activities, banking administration, trade finance processing, and treasury reporting. The Administrator is the primary executor of treasury processes and the main point of contact for routine banking matters and internal finance teams.

    Key Responsibilities

    Cash Management & Liquidity

    • •Monitor daily cash positions across all corporate bank accounts and subsidiaries, identifying and escalating material variances to VP, Finance.
    • •Collect and consolidate cash flow forecasts from Business Unit Finance leaders to maintain an accurate view of the consolidated entity’s liquidity.
    • •Execute intercompany transfers, fund movements, and short-term funding transactions as directed.
    • •Process AP payments in coordination with the Finance team, ensuring approvals are in place and timing is optimized.

    Banking & Credit Facility Administration

    • •Act as the day-to-day operational contact for banks and financial service providers, handling routine inquiries and transactions.
    • •Execute drawdowns, repayments, and rollovers on corporate credit facilities, including the Corporate Revolver and Letter of Credit facilities.
    • •Track credit facility utilization, maintain accurate records, and prepare covenant compliance submissions on schedule.
    • •Keep bank account records, authorized signatories, and banking portal access up to date.

    Trade Finance

    • •Process letters of credit and bank guarantees end-to-end, including applications, amendments, renewals, and closures.
    • •Track all outstanding trade finance instruments, monitor expiry dates, and action renewals in advance.
    • •Liaise with banks to resolve LC discrepancies and ensure timely document presentation.
    • •Maintain accurate trade finance records and reconcile outstanding instruments against internal schedules.

    Treasury Reporting

    • •Prepare and distribute regular treasury reports to VP, Finance, including daily cash position summaries, monthly liquidity reports, debt capacity schedules, and FX exposure updates.
    • •Maintain treasury records and documentation in accordance with corporate policies, ensuring files are organized and audit-ready.
    • •Execute fraud prevention controls, flag suspicious transactions, and escalate anomalies as appropriate.
    • •Compile supporting schedules and data for internal and external audit requests related to treasury.

    FX & Interest Rate Risk

    • •Execute FX hedging transactions as directed, ensuring accurate confirmation, settlement, and reconciliation.
    • •Track foreign currency and interest rate exposures across the corporate and subsidiary levels and prepare regular exposure reports.
    • •Maintain hedging transaction logs, trade confirmations, and related documentation.
    • •Monitor natural hedging opportunities by tracking cash inflows and outflows across currencies and flagging imbalances.

    Cross-Functional Support

    • •Work with Accounting, FP&A, Legal and Tax teams to provide treasury data and execute treasury-related tasks for new projects, acquisitions, and ad hoc requests
    • •Contribute to treasury process improvements and system updates as the function evolves.

    Qualifications & Experience

    • •3 -5 years of hands-on experience in a treasury operations, cash management, or banking operations role within a corporate finance or treasury department.
    • •Post-secondary education in Finance, Accounting, Business Administration, or a related field
    • •Practical experience executing cash management transactions, credit facility administration, and trade finance processing.
    • •Familiarity with FX transactions and hedging instruments from an operational standpoint.
    • •Experience working directly with banks on day-to-day operational matters.
    • •Intermediate to advanced Excel skills; experience with treasury management systems or ERP platforms is an asset.
    • •High attention to detail and accuracy in transaction processing and financial record-keeping.
    • •Strong written and verbal communication skills, with the ability to present clearly to senior finance leadership.
    • •Self-directed and comfortable working independently in a fast-paced environment with shifting priorities.
    • •Proven ability to handle sensitive financial information with discretion and maintain strong controls.

    We provide a competitive compensation package with a strong pay for performance rewards approach. Employees have the opportunity to participate in incentive programs and compensation tied to business and individual performance. The expected compensation range for this position is: $70.000 to $90,000.

    The actual compensation may vary depending on local market conditions, geography and relevant job-related factors such as knowledge, skills, qualifications, experience, and education/training.

    We are committed to providing employment accommodation in accordance with the Ontario Human Rights Code and the Accessibility for Ontarians with Disabilities Act. If you require accommodation due to a disability at any stage of our hiring process, please advise us when completing your application.#LI-Hybrid

    #LI-Hybrid

    The Range Group may use artificial intelligence throughout the recruitment process to screen, assess or select applicants for this position. These tools assist our hiring team but do not replace human judgment. Final hiring decisions are ultimately made by humans.

    We thank all candidates for their interest however only those selected for an interview will be contacted.

    About Range

    Range is at the forefront of the blockchain revolution, building innovative Web3 solutions that redefine digital ownership, finance, and interaction. Based in New York, we are a dynamic team of engineers, designers, and strategists dedicated to creating robust, scalable, and user-centric decentralized applications. Our work spans critical areas of the crypto ecosystem, from advanced DeFi protocols to groundbreaking NFT platforms, always with an eye towards fostering a more open, transparent, and equitable digital world. Our culture at Range is built on a foundation of intellectual curiosity, collaborative spirit, and a relentless pursuit of excellence. We champion an environment where bold ideas are encouraged, challenges are met with innovative solutions, and continuous learning is paramount. We believe in empowering our team members to take ownership, experiment, and contribute meaningfully to projects that have a tangible impact on the Web3 landscape. Join Range and become part of a pioneering team shaping the future of blockchain technology. If you're passionate about decentralized systems, eager to push the boundaries of what's possible, and thrive in a fast-paced, high-impact environment, we invite you to explore career opportunities with us. Contribute to building the next generation of Web3 infrastructure and applications that will empower millions worldwide.

    Ready to Apply?

    To submit your application for this position, please visit Range's official website and follow their application process.

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