Job Description
My client is a large multi-billion dollar business servicing the construction sector, with intentions to IPO in future. They are looking to add to a high performing treasury team of 5.
Reporting into the Treasury Lead, the Senior Treasury Analyst takes a lead role in dealing foreign exchange & commodities, liquidity management (cash forecasting, drawdowns & repayments), risk management and reporting.
Additionally, you will be called upon to provide analysis and decision support on a range treasury related commercial activities.
About you (WHAT YOU POSSESS)
The successful candidate will have relevant degree qualifications as well as 4 (min) to 8 (max) years of working experience.
You will have previous experience working in a fast-paced treasury function, with exposure to cashflow management, dealing foreign exchange & commodities as well as financial analysis and modelling.
Regardless, you will have first class communications and demonstrable interest in business partnering.
If this sounds like you hit "APPLY" to submit your CV or contact Phillip Pham on 9775 5922 for a confidential discussion.