Strategic Finance and Treasury Manager (Sydney)

Strategic Finance and Treasury Manager (Sydney)

24 Sep
|
Lanson Partners
|
Sydney

24 Sep

Lanson Partners

Sydney

Join this high-growth technology firm driving strategic financial modelling, long-term planning, and liquidity forecasting and management.

Excellent corporate culture with flexible hybrid work arrangements

Dynamic, high-growth business leading their field

Great accountability, senior stakeholder exposure, and commercial input

You will own the long-term financial planning, cash flow, balance sheet and liquidity oversight, and provide support in maintaining the organisation's financial model for valuation purposes. This role is the primary owner of strategic financial modelling and serves as a trusted internal resource for financial analysis and scenario planning.

Key Responsibilities

Cash Flow and Liquidity

Own the cash flow forecast, reconcile to actuals on a periodic basis, and maintain it as an accurate, dynamic view of the organisation's cash flow position

Own the liquidity model, ensuring sufficient runway and flagging risks proactively

Manage treasury operations including cash management, bank relationships, and FX exposure where applicable

Support funding activities as required

Long-Range Planning and Scenario Analysis

Lead the development and maintenance of the long-range financial planning model, enabling capital planning and scenario analysis

Support the development of the company's financial framework and translate framework and strategic business objectives into financial projections and scenario models

Extract insightful commentary from long-term planning processes,



helpful for management and Board consumption

Investor & Board Reporting

Provide support in maintaining the company's financial model for investor valuations, keeping it current, accurate, and well-documented

Assist in preparing investor-facing financial materials, board packs, and financial schedules as required

Maintain accurate and consistent financial data used for external reporting

Support due diligence processes for capital transactions as required

Business Partnering

Collaborate with the business and the FP&A; Manager to keep the long-range plan and operational forecasts aligned

Serve as the key financial modelling and analytical resource in supporting business decisions

Work collaboratively with the rest of the Finance team and broader business

Skills & Experience

Proven xperience in strategic finance, decision support, corporate finance, treasury, or a financial modelling-intensive role

Exceptional financial modelling skills — must be able to build and maintain complex, integrated 3-statement models while exercising financial modelling best practice

Strong understanding of balance sheet, cash flow, and capital structure

Ability to work with a high degree of autonomy and own workstreams end-to-end

Strong commercial acumen and ability to frame financial analysis in a business context

Excellent communication and presentation skills, including the ability to present to senior stakeholders

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📌 Strategic Finance and Treasury Manager (Sydney)
🏢 Lanson Partners
📍 Sydney

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