Treasury Analyst
Our client:
Our client is a large, well known organisation undergoing a significant transformation. The business is now entering a new growth phase, offering strong long-term opportunity and exposure.
The role:
This is a hands-on Treasury Analyst position sitting within a high-performing team. You’ll support day-to-day treasury operations while gaining exposure to funding, liquidity, FX, and broader financial risk management in a complex corporate environment.
Key responsibilities:
- Support daily treasury operations including cash management, funding, and liquidity
- Assist with cash forecasting and daily funding positions
- Manage treasury settlements across FX, debt, and banking transactions
- Liaise with internal stakeholders and external banking partners
- Support treasury reporting (board, audit, and financial disclosures)
- Ensure compliance with treasury policies, debt facilities, and regulatory requirements
- Contribute to process improvements and operational efficiency initiatives
Skills and experience:
- 1-5 years’ experience in banking, treasury, or finance
- Strong Excel and analytical capability
- High attention to detail and ability to work in a fast-paced environment
- Degree in Finance, Accounting, or Commerce
- Exposure to treasury concepts or corporate finance (advantageous)
- CA/CPA (or working towards) beneficial
Benefits and additional information:
- Hybrid working – 2 days WFH
- Free lunch + subsidised parking
- No travel required
- Strong career progression opportunities including exposure to insurance and broader treasury functions
- Direct access to senior leadership with significant investment in development
How to apply:
If this opportunity aligns with your experience and you’re looking to accelerate your career in treasury within a high-growth environment, please apply or reach out to Sienna at Talent International for a confidential discussion.