Role Overview
As Senior Treasury Analyst, you will support the Treasury management team internationally and frequently interact with large groups of partners, both internal and external.
Responsibilities
* Develop and implement treasury strategies, processes and systems to optimise liquidity, funding, and capital structure.
* Support the development and implementation of cash management strategies across multiple jurisdictions, ensuring sufficient liquidity to meet regulatory, operational and strategic needs.
* Own and implement initiatives ensuring process standardisation, optimisation and control environment.
* Assist in managing bank relationships and negotiating banking services.
* Represent Treasury by leading engagements and interactions with internal and external partners by building productive relationships.
Minimum Qualifications
* Min 8 years work experience in a Treasury or Strategic Business environment.
* Minimum level 8 degree (or equivalent) in business or similar. Post graduate qualification preferred.
* Proven leadership skills as demonstrated through clear problem-solving skills, strong process evaluation, excellent team and business relationship building, and delivery of high-quality work.
* Experience in ERP Systems, SAP and business banking platforms or systems desired.
Preferred Qualifications
* Ability to establish effective relationships with strong communication skills and ability to deal with people at all levels both internally and externally.
* Ability to function in a fast-paced environment and prioritise multiple projects with competing priorities.
* Ability to multi-task across diverse business divisions and geographical boundaries.
* High degree of professional integrity essential at all times.
* Comfortable expressing a point of view and inspiring change.
* Demonstrate ability in a positive and practical manner, to identify, prioritise and resolve issues quickly and effectively.
* Ability to clearly organise and advise through excellent written and verbal communications.