Treasury Analyst

The Lottery Corporation

Melbourne, Victoria, Australia
On-site
Background in treasury or finance
Experience in banking payments
Cash management and liquidity monitoring
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.
  • The successful candidate will manage daily cash flow forecasting, coordinate banking payments, and support foreign exchange transactions.
  • Benefits include 18 weeks paid parental leave, bonus leave, and access to corporate discounts on racing and sports events.

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 or finance
  • Experience in banking payments
  • Cash management and liquidity monitoring
  • Foreign exchange transaction exposure
  • Understanding of hedging activities
  • Strong attention to detail

Nice-to-have

  • Interest in financial risk management
  • Process improvement capabilities
  • Effective stakeholder relationship building
  • Collaborative team environment preference

Key Requirements

  • Experience in complex regulated environments
  • Good understanding of treasury accounting principles
  • Ability to manage multiple priorities with accuracy

Work Rights

Not specified

Tailored Resume

Cover Letter