NSW Treasury is seeking a Senior Analyst, Cash Optimisation to support the State’s cash management and liquidity analysis. You will develop models, forecast borrowings and advise on funding needs, collaborating with Treasury and external partners to ensure effective operations.
You will influence budget outcomes and provide insights across government, with a focus on risk management and data-driven decision making.
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📌 Senior Analyst, Cash & Liquidity Optimization (City of Sydney)
🏢 NSW Treasury
📍 City of Sydney
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