24 Sep
|
Shotland Consulting
|
Sydney
24 Sep
Shotland Consulting
Sydney
Treasury Analyst / Senior Treasury Analyst
Shotland Consulting Pty Ltd – Sydney CBD NSW
Shotland Consulting has been excclusively engaged by Centuria Capital to recruit a newly created role in the Treasury function.
The Opportunity
An exciting opportunity has arisen for a Treasury Analyst / Senior Treasury Analyst to join a high-performing Treasury team within a diversified investment and property funds management environment, namely Centuria Capital (ASX:CNI)
This is a broad, hands-on role providing exposure across the full debt lifecycle — from sourcing and structuring new debt and supporting transaction execution, through to portfolio monitoring, risk management, settlement and treasury systems administration.
Working across a diverse portfolio of listed and unlisted funds, you will partner closely with Treasury, Finance, Fund Management, Capital Transactions, banking partners and external advisers.
Key Responsibilities
Debt Transactions & Execution
Assist with sourcing and structuring debt for acquisitions, refinancings and facility extensions.
Support lender tender processes, assessing appetite, pricing, tenor and facility terms.
Assist with facility negotiations and end-to-end transaction execution, including settlement and management of settlement risk.
Work collaboratively with Finance, Capital Transactions, Fund Managers, banks and external legal advisers.
Monitor refinancing requirements and upcoming debt maturities across the portfolio.
Support interest-rate risk management and hedging activities, including swaps, caps and other derivatives.
Assist with derivative pricing, monitoring and reporting.
Monitor debt covenant requirements, including LVR and ICR, and support the Group's stress-testing program.
Treasury Management Systems
Maintain the Treasury Management System across deal, derivative and line-fee administration.
Manage rate-set entries, confirmations and monthly system maintenance.
Assist with the deactivation of business units following asset sales.
Ensure treasury data remains accurate and up to date.
Compliance, Reporting & Administration
Coordinate bank valuation undertakings, including tracking lender timelines and verifying reliance and validity.
Support annual compliance-pack processes, reviewing compliance certificates against finance agreements and distributing documentation to financiers.
Manage Legal Entity Identifier (LEI) creation and maintenance.
Coordinate annual insurance and Certificate of Currency renewals.
Generate treasury reports covering MTM, facility utilisation, drawdowns, securities and other portfolio information.
Maintain accurate treasury documentation and electronic filing across SharePoint.
Support board reporting, board memorandums and treasury-fee tracking.
About You
We are seeking a commercially minded Treasury qualified with circa 3–5 years' relevant experience gained within a corporate, real estate, banking or financial institution environment.
You will ideally bring:
A Bachelor's degree in Economics, Finance, Business/Commerce, Finance Law or a related discipline.
Exposure to secured lending, financing documentation and security arrangements.
Understanding of interest-rate risk management and hedging products, including swaps and caps.
Strong analytical and numerical capability, with exceptional attention to detail.
Advanced Excel skills and the ability to work confidently with treasury management systems.
Strong communication, negotiation and stakeholder-management skills.
The ability to build effective relationships with banks, legal advisers, fund managers and senior stakeholders.
A proactive, hands‑on approach and the ability to manage multiple priorities in a transaction-focused environment.
Progressing towards a CA, CFA, MBA, Masters in Applied Finance or similar postgraduate qualification will be viewed favourably.
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📌 Treasury Analyst / Senior Treasury Analyst (Sydney)
🏢 Shotland Consulting
📍 Sydney