Treasury Analyst

TABCORP ASSETS Pty Ltd

Melbourne, Victoria, Australia
On-site
Background in treasury finance or banking
Experience with banking payments and liquidity monitoring
Exposure to foreign exchange transactions
This role sits at the heart of Tabcorp's finance operations to ensure cash moves smoothly and risks are managed

Job Summary

  • This role sits at the heart of Tabcorp's finance operations to ensure cash moves smoothly and risks are managed.
  • You will manage daily cash flow forecasting, coordinate banking payments, and support foreign exchange and hedging transactions.
  • The team thrives on collaboration, inclusion, respect, and face-to-face connection within a complex regulated environment.

Matching Summary

This role sits at the heart of Tabcorp's finance operations to ensure cash moves smoothly and risks are managed.

Skills & Requirements

Must-have

  • Background in treasury finance or banking
  • Experience with banking payments and liquidity monitoring
  • Exposure to foreign exchange transactions
  • Understanding of hedging activities and treasury accounting
  • Strong attention to detail and accuracy

Nice-to-have

  • Interest in financial market activity
  • Ability to manage multiple priorities effectively
  • Clear communication skills for stakeholder relationships
  • Contribution to process improvement initiatives

Key Requirements

  • Background in treasury, finance, or banking
  • Good understanding of hedging activities
  • Experience in a complex regulated environment

Work Rights

Not specified

Tailored Resume

Cover Letter