NSW Treasury is seeking a Senior Analyst, Cash Optimisation to support the cash management function and contribute to significant budget outcomes. You will analyse the State's operating liquidity, forecast borrowings and maintain financial parameters through robust modelling.
The role requires building robust relationships with agencies, NSW Treasury Corporation and banking partners, and providing commercial advice based on data-driven insights to optimise the State's liquidity pool.
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📌 Senior Analyst, Cash Optimisation & Liquidity Hybrid Sydney
🏢 Nsw Government
📍 Sydney
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