Overview
Our client is a mid-tier ASX-listed mining company entering an exciting growth phase. With established operations delivering consistent production and cash flow, the business is advancing a major international development project that will significantly expand its production base and sector position. The company is well capitalised, backed by supportive shareholders and an experienced Board, and is known for long-tenured teams that foster collaboration, mentorship, and career development. Its people are widely regarded as being of the highest calibre and are highly respected across the mining community.
The Senior Finance Manager will play a lead role in treasury strategy while overseeing financial operations. The role balances strategic treasury initiatives - development project funding, banking relationships and multi-currency frameworks - with operational finance excellence across reporting, compliance and control environments.
From a treasury and corporate finance perspective, the role will lead the funding strategy for a major development project, establish relationships with tier-one banking partners, implement FX hedging programmes and design treasury systems to support a growing, multi-asset operation. At the same time, the role ensures financial operations deliver accurate, timely and credible information that underpins treasury decisions and supports banking and capital markets engagement.
Key Responsibilities
* Treasury & Corporate Finance
o Develop funding strategy for a major development project, evaluating project finance facilities, equity partnerships, streaming arrangements and hybrid solutions
o Establish a centralised treasury function with appropriate governance frameworks and policies
o Build and manage banking syndicate relationships with tier-one financial institutions
o Implement FX hedging programmes across multi-currency operations
o Own the corporate financial model, cash flow forecasting, and liquidity management
o Manage existing debt facilities and optimise capital structure
o Design scalable treasury systems supporting growth and increasing complexity
o Support investor relations materials and capital markets engagement
* Financial Operations
o Oversee financial reporting, statutory accounts and audits across multi-jurisdictional operations
o Maintain strong internal controls and financial governance frameworks
o Lead budgeting, forecasting, and management reporting to support operational and strategic decision-making
o Ensure compliance with ASX listing requirements and accounting standards
* Leadership
o Lead the finance team across treasury, accounting and reporting functions
o Mentor and develop team members, building a collaborative, high-performing team culture
Candidate Profile / Qualifications
This role will suit either a treasury professional with strong accounting foundations or a qualified accountant who has expanded into treasury and corporate finance. Both backgrounds are well aligned; what matters most is genuine experience across treasury and financial operations within capital-intensive sectors such as mining, resources, infrastructure or energy. The successful candidate will bring hands-on experience with funding transactions, debt facilities, or capital markets activity, alongside leadership in financial reporting and operations. They will be comfortable managing banking relationships, building financial models, forecasting cash flows and understanding how funding decisions are structured and executed.
How to apply
For specific enquiries, please contact Andrew Clements at aclements@derwentsearch.com.au referencing job number 33763.
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