Analyst, Treasury & Corporate Finance

A highly successful infrastructure asset critical to Australia’s economy, our client has a diverse portfolio of business operations, ensuring an abundance of challenge and opportunity for future employees. A Treasury Analyst is currently required to support the Treasurer in the management of treasury related activities and financial risks across the Group.

The Treasury Analyst will have broad scope across a range of activities encompassing cash management forecasting, development execution of hedging strategies, cashflow liquidity management and financial reporting for hedge instruments and other treasury related transactions. A highly visible role internally, the Treasury Analyst will interface with various internal stakeholders providing advice and guidance on financial risks and treasury policy in addition to building strong relationships externally with banks and funding agencies. The Treasury Analyst will also participate in the preparation of materials and analysis for capital raising purposes.

With an undergraduate degree and post graduate qualifications in Commerce or Finance (CA, CPA, MAppFin, CFA) the successful applicant will have a developed understanding of financial and capital markets and previous experience in a corporate treasury, banking or professional services (capital markets) environment. Existing exposure to large and complex funding arrangements will be looked upon favourably as will strong financial modelling capability and experience preparing investor related materials. Strong problem solving, conceptual and analytical skills will be critical to your success as will be the ability to communicate with influence.

This role represents an opportunity to be mentored by a well respected, experienced Treasurer. For a confidential discussion, please contact Briana Hill on + 61 3 8399 0109.

July 22, 2013 • Tags:  • Posted in: Financial

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