EOS group seeks a Treasury Manager to lead day-to-day treasury operations, cash flow forecasting, liquidity management and treasury controls across the Group.
You will build forecasts, manage banking relationships, FX hedging, reporting to Exco and the Board, and support governance, risk management and continuous improvement within a multinational workplace. This role partners with Tax and FP&A; and interacts with lenders and export finance agencies.
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📌 Strategic Treasury Manager — Cash, FX & Funding (Australia)
🏢 EOS Group
📍 Australia
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