EOS group seeks a Treasury Manager to lead day-to-day treasury operations, cash flow forecasting, liquidity management and treasury controls across the Group.
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You will build forecasts, manage banking relationships, FX hedging, reporting to Exco and the Board, and support governance, risk management and continuous improvement within a multinational setting. This role partners with Tax and FP&A; and interacts with lenders and export finance agencies.
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📌 Strategic Treasury Manager -- Cash, FX & Funding (New South Wales)
🏢 EOS Group
📍 New South Wales
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