Osborne Richardson are a specialist recruitment agency to the Public Sector. Our local council client, located between Brisbane and the Gold Coast has a fantastic opportunity for a Treasury Management Accountant for a 6 month plus contract.
If you are a skilled finance qualified with expertise in treasury management and you are available for a a dynamic role that supports financial sustainability and strategic decision-making please read on....
About the Role
As the
Treasury Management Accountant
, you will establish and lead the Council's Treasury Management function. This pivotal role focuses on optimising cash management, minimising financial risks, and providing strategic financial guidance to senior stakeholders.
Key Responsibilities
Strategic Leadership
Establish and manage the Treasury Management function.
Provide expert advice on financial sustainability and risk mitigation.
Lead the resolution of complex policy issues in alignment with long-term objectives.
Drive process improvements to enhance customer service and operational efficiency.
Technical Expertise
Forecast and report on cash positions, advising on their impact on long-term financial plans.
Manage investments and debt portfolios to maximise returns and liquidity.
Conduct financial modelling, scenario analysis, and strategic forecasting.
Ensure compliance with Local Government Regulations and accounting standards.
Develop and maintain policies, including Debt and Investment strategies.
Communication and Collaboration
Translate complex financial information for senior stakeholders, including Councillors and the Mayor.
Build strong, collaborative relationships with internal teams and external industry stakeholders.
Negotiate and encourage stakeholder engagement in cash forecasting models.
Operational Excellence
Develop and implement work practices and procedures for treasury management.
Oversee regulated reporting requirements and provide input into the Queensland Treasury Corporation (QTC) credit review.
About You
Qualifications
Bachelor's degree in Accounting, Commerce, Finance, or related discipline (mandatory).
Postgraduate qualifications in Finance, Treasury, or Financial Risk Management (highly regarded).
Membership or eligibility for membership of a Professional Finance Body (FINSIA, CA, CPA) (desirable).
Experience and Skills
Significant experience in treasury or senior finance roles, preferably in the public sector.
Knowledge of Local Government Regulations and contemporary accounting practices.
Strong analytical, problem-solving, and project management skills.
Proven ability to communicate complex issues to diverse audiences effectively.
Experience in developing cash flow forecasts, investment portfolios, and debt strategies.
Apply Now
If you are a finance professional with a passion for treasury management and strategic leadership, we'd love to hear from you!