14 Sep
|
MA Financial Group
|
Sydney
14 Sep
MA Financial Group
Sydney
Position Summary: The Senior Treasury Analyst manages daily liquidity planning, cash forecasting, and trust structures for MA Money.
This role combines strategic funding execution with portfolio administration, compliance, and process optimisation.
About MA Financial Group:
MA Financial Group is a global alternative asset manager specialising in private credit, real estate and hospitality.
We lend to property, corporate and specialty finance sectors and provide corporate advice.
We invest and manage $15.3 billion on behalf of our clients, have $175 billion in managed loans and have advised on over $135 billion in advisory and equity capital market transactions (as at December ****).
We have a team of over 900 professionals across locations in Australia, China, Hong Kong, New Zealand, the Philippines, Singapore and the United States.
MA Financial is a place of opportunity and unlimited potential.
It's a place that empowers you to think, collaborate, and help create something truly valuable.
Key Responsibilities
Manage day-to-day trust administration and cash management for allocated trusts.
Allocate loans efficiently across available funding facilities.
Review and validate monthly Trust waterfall reports and data files prepared by external Trust Management to ensure accuracy
Act as key point of contact to coordinate and facilitate funder audits, ensuring all required data and documentation are provided seamlessly
Build cashflow and waterfall models
Leading daily liquidity planning and funding recommendations.
Maintain a clear overview of origination pipelines to determine Senior, Mezzanine,
and Junior funding requirements.
Assist with the preparation of ALCO and Board packs
Overview of origination forecasting and Senior, Mezzanine and Junior funding requirements.
Lead in streamlining existing treasury and reporting processes and controls
Lead initiatives to streamline, automate, and improve existing treasury reporting processes and internal controls.
Assist with the setting up of current facilities, renewal, and renegotiation of current facilities, calling term transactions and winding up any required facilities
Guide and mentor junior Treasury Analysts, fostering a culture of continuous learning and process excellence.
Qualifications
Minimum 5 years' strong background in treasury, or debt capital markets, ideally within banking or non-bank lending.
Tertiary qualification in finance, accounting, economics, commerce or a related discipline
Strong analytical and reporting skills, able to collate and present insights to support business decisions
Good understanding of RMBS, securitisation and financial markets
Enjoy working in a collaborative and entrepreneurial environment.
Ability to work effectively under pressure on multiple projects and meet deadlines.
Highly organised, detail-oriented, with the ability to manage competing deliverables.
Proactive, curious, and eager to learn, with the ability to manage multiple priorities and contribute to continuous improvement in a dynamic environment
Be able to effectively communicate and maintain solid relationships with internal and external stakeholders
#J-*****-Ljbffr
📌 Senior Treasury Analyst (Sydney)
🏢 MA Financial Group
📍 Sydney