Treasury Analyst
Professional Search Group ·www.professionalsearchgroup.com.au
Apply directHero Calling | Treasury & Credit Analyst | Northern Suburbs
We are recruiting on behalf of a well-established organisation for an experienced finance professional to support treasury, cash management, foreign exchange and credit activities across a complex multi-entity environment.
This is a hands-on analytical opportunity offering broad exposure across liquidity, banking, cash-flow forecasting, funding requirements and customer credit risk.
Fact File:
- School of Accounting: Treasury & Commercial Finance
- Treasury Exposure: Essential
- Industry: Engineering / Construction / Resources
- Contract Type: Contract
- Availability: Immediately Available Preferred
- Rate: $80–$85 per hour + Super
- Location: Northern Suburbs
About the Role:
Working as part of the wider finance function, this role will provide hands-on support across treasury, banking, cash-flow forecasting, foreign exchange and credit risk.
You will help manage liquidity across approximately 45 bank accounts, assess current and future funding requirements, support foreign-currency exposure associated with international operations and provide detailed analysis around customer credit risk.
This position would suit either an experienced treasury professional or a strong Financial Accountant / Senior Accountant with meaningful hands-on experience across cash management, forecasting and treasury operations.
Key Responsibilities:
- Prepare and maintain short and medium-term cash-flow forecasts.
- Monitor cash positions across multiple entities and bank accounts.
- Assess upcoming funding requirements and availability of funds.
- Support the management and administration of approximately 45 corporate bank accounts.
- Coordinate movements of cash between accounts and entities.
- Support banking authorities, account administration and treasury processes.
- Monitor and analyse foreign-exchange exposures associated with international operations.
- Assist with FX forecasting and treasury analysis.
- Prepare cash, liquidity and treasury reporting for senior stakeholders.
- Analyse actual cash movements against forecasts and investigate variances.
- Support intercompany funding and broader liquidity-management activities.
- Undertake customer credit-risk analysis and assess financial exposure.
- Support credit-limit decisions and monitor existing customer exposures.
- Identify potential credit, cash-flow and financial risks.
- Drive continuous improvement across treasury, credit and cash-management processes.
Short but Sweet:
We are seeking an analytical finance professional with:
- Strong experience in cash-flow forecasting and cash management.
- Previous exposure to corporate treasury and banking activities.
- Experience working within a complex, multi-entity organisation.
- Understanding of liquidity, funding requirements and foreign-exchange exposure.
- Credit-risk or customer financial-assessment experience highly regarded.
- Strong financial analysis, forecasting and advanced Excel capability.
- Excellent attention to detail and stakeholder-management skills.
- Experience within mining, resources, engineering, construction, energy or industrial services highly regarded.
- Exposure to Pronto advantageous but not essential.
Stephen's Heroes:
Want to be part of an elite candidate pool representing the top 1% of the immediately available market?
Keen to help 'save' any business at a moments notice?
Reach out to Stephen Lutman (ACMA, CGMA)
"Recruiting finance professionals at speed - Backed by CIMA qualified experience"
0406158574
stephen@psgaus.com.au
#SCR-stephen-lutman