Job Details

Treasury Analyst

Category:

Accounting

Employment Type:

Full Time

Industry:

Accountant - Treasury

Contact Name:

Contact Email:

Contact Phone:

Date Published:

20-Apr-2026

Job Description:

  • Support cashflow forecasting, reporting and working capital activities
  • Work closely with banks and internal stakeholders
  • Develop treasury skills within a global, growing function
  • The Organisation
      
    A global organisation is strengthening its treasury function as part of a broader international restructure, creating an opportunity for a Treasury Analyst to join its Brisbane-based team.
      
    With a well-established presence locally and a wider global network, the business offers the scale of an international operation combined with the feel of a smaller, collaborative team. The Australian office works closely with offshore teams and senior leadership, providing strong exposure across treasury activities.
      

    The Role
      
    This is a newly created role supporting the Treasury Manager, with a focus on day-to-day treasury operations and reporting.
      
    You’ll be involved in cashflow management, working capital and financial analysis, while also supporting stakeholder and banking relationships. The role is well suited to someone early in their career who is keen to build a strong foundation in treasury within a supportive environment.
      
    Key responsibilities include:
    • Supporting cashflow forecasting and working capital management
    • Assisting with variance analysis and treasury reporting
    • Maintaining banking relationships and supporting stakeholder communication
    • Assisting with hedging activities and treasury processes
    • Supporting system improvements and data accuracy across treasury functions
    • Working closely with internal teams to ensure timely and accurate financial information
     
    About You
       
    You’re an early-career finance professional with a strong attention to detail and a willingness to get into the detail of the numbers. You enjoy working in a hands-on role and are looking to develop your skillset within treasury.
      
    You’ll bring:
    • Experience in a commercial finance, treasury or accounting role
    • Exposure to cashflow, reporting or working capital activities
    • Strong Excel skills and confidence working with data
    • Ability to communicate with internal stakeholders and external parties
    • A proactive attitude and willingness to learn and develop
    • Experience with accounting systems (Xero, ERP systems or similar)
      
    On Offer
    • Newly created role with strong development opportunity
    • Exposure to a global treasury function and senior stakeholders
    • Supportive team with training and development provided
    • Hybrid working model (after probation), flexible start/finish times
       
    Apply Now
      
    If you have any further questions, feel free to contact Jani Peut in the Perigon Group Brisbane Office on 0401 295 585 or email jani.peut@perigongroup.com.au or apply now by clicking on the button below.
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