01st October,
What will you be doing? You will support the wider team in managing the financial assets and liabilities of the firm, ensuring efficient liquidity management, cash flow forecasting and supporting investment and financing activities. Responsibilities will include:
Cash management
Bank relationship management
Treasury operations
Risk management
Compliance & Reporting
Project involvement
Who will you be doing it for?
An Australian financial services group that has doubled in size in the last year and has an international presence. They offer services and solutions that cover Funds Management, Global Payment Solutions, FX Risk Management, FX/CFD Trading, Insurance Broking and Lending Solutions.
Whats on offer?
A friendly, lively, team-based culture where hard work is recognised and rewarded. It is a mature environment where staff are treated with respect, flexibility and ongoing professional development resulting in future career
... Click here to view more detail / apply for Treasury Analyst