Job Description

Finance Operations Analyst – Department: Finance and Facilities. Type: Contract (24 months). Location: Toronto (Hybrid). Posting Date: June 16, 2026.

About the role

In this role, the Finance Operations Analyst is responsible for the preparation and distribution of cheques for pensions, entitlements and vendor payments. The position provides support on the annual tax extract process and generation of tax slips, assists other members of the Corporate Finance team with analysis and reconciliation, and ensures that the periodic processing activities of the Finance department are completed on a timely basis.

What you’ll do

  • Payment and Reconciliation – Process and reconcile payments. Prepare all cheques issued by OPTrust ensuring appropriate authorization in accordance with cheque signing authorities and ensure that they are sent out with proper correspondence and remittance information. Coordinate and maintain vendor bank information for EFT proces...

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