InfraBuild is seeking a Treasury Analyst to support liquidity management, cash flow forecasting and treasury accounting in Australia. You will deliver 16-week cash flow forecasts, monitor variances, and collaborate with finance and business stakeholders to optimise funding and financial performance.
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You will also handle FX transactions, hedge reporting, and the enhancement of treasury systems and tools to drive efficiency and accuracy across the finance function.
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📌 Treasury Analyst: Cash Flow & FX Strategy (New South Wales)
🏢 Infrabuild
📍 New South Wales
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