15 Sep
|
Macquarie Group
|
New South Wales
15 Sep
Macquarie Group
New South Wales
Macquarie Group seeks an experienced skilled to manage daily funding and liquidity operations within Group Treasury Operations. You will coordinate with Treasury Markets and FX Forwards to forecast liquidity, monitor nostro balances, and execute intraday funding adjustments.
You will own end-to-end booking and operational handling of structured flows, collaborating with Finance, Technology, and business stakeholders to drive process improvements using data and AI-driven solutions.
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📌 Treasury Funding & Liquidity Operations Lead (New South Wales)
🏢 Macquarie Group
📍 New South Wales