Treasury Analyst: Cash Flow & FX Strategy (City of Sydney)

Treasury Analyst: Cash Flow & FX Strategy (City of Sydney)

07 Aug
|
Infrabuild
|
City of Sydney

07 Aug

Infrabuild

City of Sydney

InfraBuild is seeking a Treasury Analyst to support liquidity management, cash flow forecasting and treasury accounting in Australia. You will deliver 16-week cash flow forecasts, monitor variances, and collaborate with finance and business stakeholders to optimise funding and financial performance.

You will also handle FX transactions, hedge reporting, and the enhancement of treasury systems and tools to drive efficiency and accuracy across the finance function.

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📌 Treasury Analyst: Cash Flow & FX Strategy (City of Sydney)
🏢 Infrabuild
📍 City of Sydney

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