Treasury Analyst Job Description
Manage foreign currency risk management and reporting as a key responsibility of this Treasury Analyst role in Melbourne, AU.
Key Responsibilities:
* Oversee short-term liquidity management with Shared Services.
* Assist the Treasury Manager in group risk management programs, debt facilities, and accounting/reporting.
A challenging opportunity exists for a self-motivated professional with 1-2 years' experience in commercial corporates, financial services, or accounting firms. Strong analytical skills are required to support problem-solving approaches.
This Treasury Analyst position involves:
* Managing foreign currency risk and providing accurate reports.
* Coordinating with Shared Services to ensure efficient short-term liquidity management.
* Supporting the Treasury Manager in managing group risks, debt facilities, and accounting tasks.
The ideal candidate will possess strong analytical skills, have 1-2 years of experience in relevant industries, and be proactive in seeking solutions. If you're a detail-oriented professional with excellent communication skills, apply now to take on this exciting challenge!