Treasury Analyst: Cash Flow Forecasting & FX Risk (Australia)

Treasury Analyst: Cash Flow Forecasting & FX Risk (Australia)

08 Aug
|
Libertyone
|
Australia

08 Aug

Libertyone

Australia

Infra Build, Australia’s leading integrated steel manufacturing and recycling business, seeks a Treasury Analyst to manage liquidity, forecast cash flows, and support treasury operations. You will work with finance and business stakeholders to identify cash flow drivers, assess financial risk, and improve financial performance.

The role requires 3–4 years in treasury or related fields, robust Excel and modelling skills, familiarity with FX markets, and collaboration across teams.

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📌 Treasury Analyst: Cash Flow Forecasting & FX Risk (Australia)
🏢 Libertyone
📍 Australia

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