Executive Consultant – Financial Services
We are seeking a proactive and detail-oriented Treasury Analyst to join a fast-growing Fund Manager who is looking to add an additional head to their team.
This role plays an integral part in supporting the company's funding, reporting, and liquidity management activities across a range of financing structures.
Key Responsibilities
Manage an assigned portfolio of funding vehicles or trusts, including drawdown processes and month-end reporting.
Ensure compliance with facility covenants and other treasury controls.
Prepare and review trust-level cash flow models and distribution waterfalls.
Partner with internal teams to enhance reporting and improve automation and efficiency.
Liaise with external stakeholders including banks, investors, and service providers.
Support cash flow and liquidity forecasting, variance analysis, and ad-hoc portfolio reviews.
Contribute to ongoing projects within the Treasury and Finance functions.
Skills & Experience
2+ years of experience in treasury operations, securitisation, structured finance, or a similar financial environment.
Tertiary qualifications in Finance, Accounting, Commerce, or a related discipline.
Strong analytical and problem-solving skills with excellent attention to detail.
Proficiency in Microsoft Excel and an aptitude for financial modelling.
Strong communication skills, with confidence in dealing with internal and external stakeholders.
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