ABOUT THE COMPANY
Join a fast-growing, well-funded Aussie business at an exciting stage of scale-up. Backed by strong investor support and a clear growth trajectory, this is a genuinely fast-paced, founder-led environment where decisions happen quickly and ownership comes early.
ABOUT THE ROLE
A hands-on prospect for a Treasury Analyst to join a newly forming treasury function and help build it from the ground up. This is a front-office-leaning role covering liquidity, banking, and FX, with real scope to shape process and systems as the function matures.
DUTIES
Owning daily, weekly, and monthly liquidity forecasting across entities, banks, and currencies
Managing bank accounts, KYC, and signatory arrangements as the business scales
Handling day-to-day FX and helping shape a practical FX and hedging framework
Supporting the selection and build-out of a treasury management system from scratch
Identifying opportunities to reduce FX leakage and optimise returns on surplus cash
Preparing treasury reporting and strengthening controls as the function grows
SKILLS & EXPERIENCE
3–5 years' corporate treasury experience, with genuine front-office exposure
Solid liquidity forecasting, cash management, and FX fundamentals
Commercially minded.
Comfortable operating autonomously in a quick-paced, high-growth environment.
If this sounds like the role for you please apply via the link or contact Andrew Kiely for a confidential discussion.
📌 Treasury Analyst Sydney
🏢 axr Recruitment & Search
📍 Sydney
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