Balance Sheet/Treasury Analyst
Job description
This role is considered to be a senior and influential role. The successful candidate will have the ability to influence without authority and successfully deliver critical outcomes. Managing the liquidity needs of the group, you will own the portfolio and manage the capital needs to meet the day to day requirements.
Role Responsibilities:
Alternatively if you are interested in the position, please apply below and we will ensure we get back to your application shortly. Please submit your resume in word format through SEEK.
For further insights and opportunities in the market you can 'follow' our company LinkedIn profile, Troocoo. Thanks again for your efforts in sending through your application and we wish you every success with your job search.
Thank you for your interest.
Role Responsibilities:
- Develop and manage the portfolio ensuring a balance of risk and return
- Assist in developing and delivering corporate investment strategy
- Represent the Treasury team across the required business channels internally and externally
- Develop and lead team members
- Strong analytical skills
- Influence and educate funding teams to ensure a positive liquid position in various market conditions
- Continually improve the investment strategy for Treasury Investments to maximize returns
- CA/CPA or CFA Qualification
- Commercial experience in a Treasury or Market Risk role
- Strong analysis and modelling skills
- Articulate and confident communicator
- Be results driven and work with an expert team
Alternatively if you are interested in the position, please apply below and we will ensure we get back to your application shortly. Please submit your resume in word format through SEEK.
For further insights and opportunities in the market you can 'follow' our company LinkedIn profile, Troocoo. Thanks again for your efforts in sending through your application and we wish you every success with your job search.
Thank you for your interest.