Strategic Treasury Accountant: Cash Flow & FX (Newcastle)

Strategic Treasury Accountant: Cash Flow & FX (Newcastle)

14 Sep
|
Ugl Pty
|
Newcastle

14 Sep

Ugl Pty

Newcastle

UGL Transport is seeking a Treasury Accountant to manage day-to-day treasury operations, including cash management, banking administration, transaction processing, and treasury accounting support. Reporting to the Treasury Manager, you will ensure accurate processing and reporting of treasury activities across the business, supporting cash and liquidity management in a dynamic environment.

Based in Current South Wales, Australia, the ideal candidate holds a Bachelor’s degree in Accounting or Finance

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📌 Strategic Treasury Accountant: Cash Flow & FX (Newcastle)
🏢 Ugl Pty
📍 Newcastle

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