Job Details About the Role: Join an ASX-listed financial services provider and market leader committed to delivering innovative funding and capital solutions. Known for their dynamic, agile workspace and a strong culture of continuous learning. Key Responsibilities: Assist with funding requirements to support capital and liquidity strategies; monitor daily cash flows and manage physical bank accounts; Manage the end-to-end process of transferring assets between allocated facilities, including coordinating with internal/external third parties, managing cash flows, and executing legal documentation; Provide high-quality research, incisive data analysis, and robust financial modeling to support senior team members in strategic decision-making; and Maintain strong working relationships with a network of external partners, including bankers, trustees, investors, rating agencies, auditors, and legal advisors. What We’re Looking For: Previous experience within a corporate treasur...
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