Join a quick-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 opportunity 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
- Strong liquidity forecasting, cash management, and FX fundamentals
- Commercially minded.
- Comfortable operating autonomously in a fast-paced, high-growth environment.
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📌 Treasury Analyst (New South Wales)
🏢 Absolute Executive Recruitment
📍 New South Wales
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