Versatile Group is seeking a commercially minded Treasury, Planning & Analysis Analyst to join our Finance team in Australia. This role combines treasury operations, financial planning and commercial analysis to support the Group's financial health and strategic direction.
Reporting to the Finance leadership team, you will manage liquidity, develop robust cash flow forecasts, support funding requirements and provide meaningful insights to senior stakeholders across the business.
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📌 Treasury & FP&A Analyst: Cash Flow & Strategy (City of Sydney)
🏢 Versatile Group
📍 City of Sydney
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