29 Aug
|
Macquarie Group
|
City of Sydney
29 Aug
Macquarie Group
City of Sydney
Macquarie Group sits within Group Treasury Operations in the wider Corporate Operations Group, managing global funding, cash and liquidity operations. In this role, you will support daily funding and liquidity needs, settle debt securities, reconcile cash/securities, and collaborate with treasury teams to improve liquidity management and processes.
You will also have the chance to use data and AI tools to support strategic initiatives in a high-performing, collaborative environment.
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📌 Hybrid Global Funding & Liquidity Analyst (City of Sydney)
🏢 Macquarie Group
📍 City of Sydney