This is a hands-on treasury role where your technical judgement will matter. You will lead effective cash, working capital and risk management activities, provide explicit forecasting and reporting, and help build stronger treasury governance. Working across Finance and with key partners in Procurement, Supply Chain, Japan head office and our banking partners, you will bring the depth and ownership needed to keep pace with a large and evolving business.
Key Responsibilities
Manage foreign currency and commodity transactions and hedging activity
Deliver accurate cash-flow forecasting and support cash management
Contribute to treasury risk management and financial reporting
Identify and implement process improvements
Support projects that improve capability, controls and ways of working
Build effective relationships across Finance, Procurement and Supply Chain key stakeholders
About You
You will bring robust, relevant experience and a solid grounding in corporate treasury.
Direct experience dealing and hedging foreign currency is essential, along with cash-flow forecasting and the confidence to work autonomously. You will also have demonstrated examples of improving processes and governance or delivering projects.
You are passionate, driven and technically capable, while remaining approachable, practical and easy to work with. Commodities exposure would be advantageous.
Why Asahi?
At Asahi Beverages, we're passionate about crafting more than just drinks - we craft moments of connection, celebration, and shared enjoyment. We bring together a diverse portfolio of iconic beverage brands, a commitment to quality, and a drive to constantly innovate. Headquartered in Melbourne and with facilities right across Australia and Current Zealand, you’ll find Asahi is a place where talent is nurtured, and ambition is rewarded. If you’re ready to toast your future, we’re ready to meet you.