Job Description
InfraBuild is seeking a Treasury Analyst in Australia to support liquidity management, cash flow forecasting, and treasury accounting.
You will deliver accurate forecasts, analyse variances, and provide insights to senior leadership for strategic decisions.
You will collaborate with Finance, FP&A;, Tax, Legal and business stakeholders to manage FX impact, treasury systems enhancements, and governance compliance.
A robust analytical mindset and cross-functional teamwork are essential.
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📌 Strategic Treasury Analyst - Cash Flow & Fx (New South Wales)
🏢 Gfg-Alliance
📍 New South Wales
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