Treasury Analyst - Cash, Debt & Forecasting (Hybrid) (Victoria)

Treasury Analyst - Cash, Debt & Forecasting (Hybrid) (Victoria)

27 Nov
|
Toronto Hydro
|
Victoria

27 Nov

Toronto Hydro

Victoria

A public utility company in Melbourne is seeking a Financial Analyst (Treasury) to manage cash and budgeting activities. Responsibilities include supporting debt issuance, financial reporting, and presentation preparation. The ideal candidate should have a bachelor's degree, 3 years of experience, and pursue a CFA or CPA designation. This position allows hybrid work, requiring onsite presence from Tuesday to Thursday.

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📌 Treasury Analyst - Cash, Debt & Forecasting (Hybrid) (Victoria)
🏢 Toronto Hydro
📍 Victoria

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