AT is seeking an experienced Treasury & Risk qualified to monitor cash positions, support inter‐company movements, and enhance liquidity planning. The role focuses on risk reporting, hedging governance, and regulatory compliance within a large corporate treasury setting.
You will manage banking relationships, oversee KYC and funding processes, and contribute to weekly forecasts and MTM analyses. Solid communication, Excel proficiency, and knowledge of derivative markets are essential.
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📌 Treasury Strategy & Liquidity Lead New South Wales
🏢 @
📍 New South Wales
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