Macquarie Group is seeking a treasury skilled to manage daily funding and liquidity requirements and provide end-to-end operational support for debt securities products.
The role involves processing payments, settlement instructions, cash and securities reconciliation, and resolving settlement exceptions.
The successful candidate will work closely with treasury markets teams to monitor liquidity, provide forecasts and intraday adjustments, and partner with Finance, Technology and business
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📌 Global Funding & Liquidity Specialist — Hybrid Role (New South Wales)
🏢 Macquarie Bank
📍 New South Wales
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