Senior Treasury Risk Manager

061

Sydney, Australia
Managing fixed interest rate exposures
Developing financial models for scenario analysis
Assessing derivative structures and hedging strategies
This role offers the opportunity to build Australia's future by managing financial risks across interest rates, liquidity, foreign exchange, and counterparty exposures

Job Summary

  • This role offers the opportunity to build Australia's future by managing financial risks across interest rates, liquidity, foreign exchange, and counterparty exposures.
  • The successful candidate will develop and maintain financial models to support scenario analysis, hedging valuation, and long-term risk forecasting.
  • nbn provides a pioneering spirit, inclusive workplace culture, 18 weeks of paid parental leave, and recognition as a WORK180 Endorsed Employer.

Matching Summary

This role offers the opportunity to build Australia's future by managing financial risks across interest rates, liquidity, foreign exchange, and counterparty exposures.

Skills & Requirements

Must-have

  • managing fixed interest rate exposures
  • developing financial models for scenario analysis
  • assessing derivative structures and hedging strategies
  • evaluating liquidity position and refinancing risk
  • applying advanced quantitative analytical skills

Nice-to-have

  • experience in bank treasury or large corporate environment
  • ability to translate complex analysis into actionable insight
  • comfortable working autonomously with independent oversight
  • organised, thoughtful, and commercially minded approach

Key Requirements

  • Degree in Finance, Economics, Accounting, Commerce or related discipline
  • Several years of experience in financial risk management or treasury
  • Full working rights in Australia required

Work Rights

Must have full working rights in Australia

Tailored Resume

Cover Letter