Macquarie Group is seeking an Executive for Group Treasury Funding Operations to manage daily funding and liquidity requirements in collaboration with Group Treasury Markets and FX Forwards trading teams.
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You will oversee real-time nostro balances, intraday funding adjustments and end-to-end booking of structured flows, while partnering with various business units to support Balance Sheet Management and related processes.
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📌 Executive, Treasury Funding & Liquidity Operations (Sydney)
🏢 Macquarie Bank
📍 Sydney
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