Macquarie Group is seeking an Executive for Group Treasury Funding Operations to manage daily funding and liquidity requirements in collaboration with Group Treasury Markets and FX Forwards trading teams.
You will oversee real-time nostro balances, intraday funding adjustments and end-to-end booking of structured flows, while partnering with various business units to support Balance Sheet Management and related processes.
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📌 Executive, Treasury Funding & Liquidity Operations (Sydney)
🏢 Macquarie Bank
📍 Sydney
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