Australian Gas Infrastructure Group (AGIG) is one of Australia’s leading gas infrastructure groups, managing critical infrastructure across Australia through its businesses that include Australian Gas Networks, Dampier Bunbury Pipeline and Multinet Gas Networks. It is also leading the way in renewable gas, through the development of projects such as Hydrogen Park South Australia which is delivering a 10% renewable gas blend to around 4,000 homes. With assets of approximately $9 billion, a customer base of over 2 million and employing more than 470 staff, AGIG is poised for further growth.
An exciting senior Treasury opportunity has emerged, one of two key direct reports to the Group Treasurer, supporting the mission to shape AGIG Treasury and drive results for the national business. This key role will be responsible for leading the development and implementation of the operational management frameworks for AGIG Treasury incorporating the integration of processes, key controls and treasury management systems and ensuring that the Treasury funding, investment and risk management portfolios are managed in accordance with all requirements, including settlements, compliance and reporting arrangements.
Specific responsibilities include:
- leading the Treasury Settlements and Operations function to deliver accurate and timely recording, confirmation and settlement of Treasury funding and hedging transactions;
- developing and maintaining frameworks to ensure compliance and governance requirements across AGIG Treasury are proactively managed;
- overseeing the integration and continued value-add from the treasury system platform across the Group and development of value-add treasury performance reporting;
- driving further enhancements in the treasury operating model and alignment across the Group, spanning policy, process and systems;
- maintaining and cultivating key internal and external relationships with AGIG Treasury stakeholders and business partners;
- managing the annual review of AGIG’s Treasury policy framework and overseeing the preparation of monthly Treasury reports for the Board;
- mentoring and developing Treasury team members while vigilantly managing risks across safety, compliance, quality, and more.
Applications are encouraged from suitably qualified and experienced Treasury professionals, with a comprehensive understanding of treasury instruments, management practices, operations, controls and governance. Proficiency in financial markets and Instruments and the management of funding programmes via bank and capital market channels, are essential. Effective leadership abilities, together with strong analytical skills, high attention to detail, well developed communication skills and a flexible, constructive and positive attitude, are all essential. Experience with regulated industries and ESG will be highly regarded.