Woodforde Group is seeking a treasury qualified to lead analytics, forecasting and reporting that underpin the organisation’s financial strength and growth. Reporting to the CFO, you will manage liquidity, cash flow forecasting and funding activities while ensuring regulatory compliance and robust ALCO papers.
You will develop scenarios, monitor balance sheet performance and support securitisation programs, working across a regulated environment and with banking counterparts.
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📌 Strategic Treasury & Liquidity Analyst (Brisbane City)
🏢 Woodforde Group
📍 Brisbane City
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