Group Treasury ensures the financial strength of the CBA Group in all operating environments and holds significant execution, planning and risk management responsibilities
Job Summary
Group Treasury ensures the financial strength of the CBA Group in all operating environments and holds significant execution, planning and risk management responsibilities.
The role offers development opportunities in one of Australia’s leading companies to accelerate your career and be part of a high performing global team.
The team supports flexibility with at least half the time each month spent in the Sydney office and the remainder flexible.
Matching Summary
Group Treasury ensures the financial strength of the CBA Group in all operating environments and holds significant execution, planning and risk management responsibilities.
Skills & Requirements
Must-have
financial modelling and forecasting
strong analytical and problem-solving skills
experience with SQL and Python or R or SAS
stakeholder management and negotiation skills
balance sheet understanding in banking
Nice-to-have
initiative and curiosity
critical thinking skills
ability to turn complex data into commercial insights
flexible work arrangements
Key Requirements
1-5 years experience
banking or financial services experience preferred
higher tertiary education in Commerce, Law, Finance, Actuarial, Financial Mathematics or related
Australian or New Zealand Citizen or Australian Permanent Resident
Work Rights
Australian or New Zealand Citizen or Australian Permanent Resident required