Reporting to the Group Treasury Manager, this is an opportunity to drive financial and management reporting and deliver ongoing process improvements within your portfolio.
As part of the APM Group, you join 15,000+ people across 11 countries with a shared purpose - to enable better lives for our employees and the communities we work in.
You will be experienced in business analytics with a particular focus on credit analysis and treasury operations, with a strong understanding of accounting and cash flows.
With a strong analytical background, you will have the confidence and ability to communicate with all levels of the business both locally and internationally.
Be rewarded for your success with: Significant professional development opportunities getting experience with private equity backed businesses with meaningful growth aspirations.A seat at the table working with senior leadership and playing a key role in delivering operational and strategic outcomes across the organisation.Grow your career in Human Services, across multiple global brands and geographies with extensive learning opportunities and networking programs.Have a lasting impact on APM, its services and its people as well as on the lives of others who rely on our critical services. Duties include: Support the development and management of a global cash flow model for short term cash forecasting and budgeting.Identify and contribute to developing treasury risk management strategies to manage foreign exchange and interest rate exposures.Manage daily cash requirements and undertake various financial market transactions.Support the modelling and analytics requirements of the Group Treasury function.
At APM, we are strengthened by diversity. We are committed to providing a work environment in which everyone is included, treated fairly, and with respect. We encourage applications from people of all ages, nationalities, abilities, and cultures including First Nations peoples, the LGBTQI+ community, and people with a disability. #J-18808-Ljbffr