About Our Client Our client is an iconic WA growth story servicing the mining industry across contract mining, drilling services, mining support services, and technology solutions. The business spans across a diverse portfolio of companies and has a strong track record of growth through acquisitions creating an exciting and ever-changing environment within the treasury operations side of the business.
Job Description Manage transactional banking and credit card facilities Maintain short and medium-term cash flow forecasts Support foreign exchange and interest rate risk management Administer funding agreements and inter-company loans Prepare and present treasury reports Build and maintain stakeholder relationships Implement process improvements Ensure regulatory compliance Contribute to ad-hoc treasury projects The Successful Applicant Tertiary degree in a related field to Accounting, Finance, or Economics. Working towards or completed your CA or CPA. Minimum of 3 years of experience in corporate treasury. Strong understanding of financial markets, accounting, tax, and legal issues related to corporate treasury is advantageous. Excellent written and verbal communication skills. Solutions- and detail-oriented with a thorough, diligent, and proactive attitude. Proven ability to build and maintain key stakeholder relationships. What's on Offer Competitive salary package with performance-based bonuses. Full-time permanent opportunity. Perth-based office in a convenient CBD location in proximity to parking and public transport. Opportunities for professional growth and career advancement within a leading industry player. Collaborative and supportive work environment. Parental leave and employee support services. Flexible working arrangements to support work-life balance.
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