Are you an experienced Treasury Manager looking for an exciting opportunity to join a dynamic finance team? We are currently seeking a talented individual to fill the role of Treasury Manager for our esteemed client, a leading global player in the renewable energy sector.
About the Role:
As a Treasury Manager, you will be responsible for overseeing cash flow and working capital management across various projects and entities. Your duties will include coordinating equity contributions and distributions, managing bank guarantee facilities, implementing hedging strategies, and ensuring compliance with financial agreements. You will also play a key role in financial reporting and process improvements.
Location: Sydney, NSW, Australia
Type: Full-time
Salary: Competitive, commensurate with experience
Key Responsibilities:
- Manage cash flow and working capital across projects and entities.
- Coordinate equity contributions and distributions.
- Manage bank guarantee facilities.
- Implement hedging strategies to manage risk.
- Ensure compliance with financial agreements.
- Assist with financial reporting and process improvements.
- Bachelor's/Master’s degree in a relevant field.
- 5+ years of experience in treasury management or similar roles.
- Experience in the renewable energy sector or related industries preferred.
- Proficiency in financial software and Microsoft Office suite.
- Strong analytical and problem-solving skills.
- Excellent communication and interpersonal abilities.
To apply, please submit your resume and cover letter detailing your relevant experience and qualifications.
Please note: Only shortlisted candidates will be contacted for further assessment.