Our client is a large, well known organisation undergoing a significant transformation.
The business is now entering a new growth phase, offering strong long-term opportunity and exposure.The roleThis is a hands-on Treasury Analyst position sitting within a high-performing team.
You'll support day-to-day treasury operations while gaining exposure to funding, liquidity, FX, and broader financial risk management in a complex corporate environment.Key responsibilitiesSupport daily treasury operations including cash management, funding, and liquidityAssist with cash forecasting and daily funding positionsManage treasury settlements across FX, debt, and banking transactionsLiaise with internal stakeholders and external banking partnersSupport treasury reporting (board, audit, and financial disclosures)Ensure compliance with treasury policies, debt facilities,
and regulatory requirementsContribute to process improvements and operational efficiency initiativesSkills and experience1-5 years' experience in banking, treasury, or financeStrong Excel and analytical capabilityHigh attention to detail and ability to work in a rapid-paced environmentDegree in Finance, Accounting, or CommerceExposure to treasury concepts or corporate finance (advantageous)CA/CPA (or working towards) beneficialBenefits and additional informationHybrid working - 2 days WFHFree lunch + subsidised parkingNo travel requiredStrong career progression opportunities including exposure to insurance and broader treasury functionsDirect access to senior leadership with significant investment in development
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📌 Treasury Analyst (Sydney)
🏢 Talent
📍 Sydney
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