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Senior Treasury Analyst / Treasury Manager

Sydney, New South Wales💼 Full-time🗓 2026-09-17 → 2026-09-26

Core

Own the operating rhythm around cash, liquidity, FX, banking relationships, hedging, and yield optimization across a global group.

Role type

Senior IC Treasury Manager

Builds

Global cash management, FX hedging frameworks, and banking infrastructure for a multi-jurisdictional marketplace

Domain

Fintech / Global Payments / Corporate Finance

Deliverable

production ML models | product features | dashboards & analysis | client delivery | infrastructure

Required skills

liquidity forecasting, cash management, FX exposure monitoring, hedging strategy, banking operations, treasury controls, yield optimization, multi-currency management, process improvement

Preferred skills

payments/fintech/marketplace experience, CFA/CTP/ACT qualification, treasury management systems (TMS) familiarity

Technologies

Excel, Treasury Management Systems (TMS), Banking Platforms

Responsibilities

Own daily/weekly/monthly liquidity forecasting; Prepare treasury reporting for CFO on cash, FX, hedging, and risks; Manage day-to-day banking relationships across jurisdictions; Optimize returns on surplus cash; Strengthen treasury processes and controls

Seniority

Senior, hands-on IC

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