Senior Treasury Analyst - Property

TOM Australia · Sydney NSW 2000 · Full time
Posted 17d ago

Senior Treasury Analyst - Property

TOM Australia
Sydney NSW 2000

·

Full time

~$150k - $160k(Estimated)
$150,000 – $160,000 including super per year
KEY POINTS WE FOUND
  • Manage short-term cash flow forecasting and liquidity analysis.
  • Support refinancing, debt restructuring, and capital management activities.
  • Prepare treasury reporting and financial modelling for management and board reporting.

  • Join a diversified investment group with exposure to large-scale property, hospitality, and investment assets.

  • Broad treasury role covering cash flow forecasting, debt management, refinancing, and treasury investments.

  • Partner directly with senior executives and financial institutions on funding and capital management initiatives.

TOM People and I are working with a leading diversified investment group to recruit a Senior Treasury Analyst. With a portfolio of commercial and hospitality property assets, this organisation offers a unique opportunity to join a sophisticated treasury function supporting complex funding structures and capital management activities.

Reporting to the Group Treasurer, you will play a key role in managing liquidity, debt facilities, cash flow forecasting, covenant compliance, treasury investments, and lender reporting. This position offers broad exposure across treasury operations, strategic funding initiatives, and executive-level decision support.

Role responsibilities:

  • Manage short-term cash flow forecasting, liquidity analysis, and working capital initiatives.

  • Maintain debt facilities, covenant compliance, and lender reporting requirements.

  • Support refinancing, debt restructuring, and capital management activities.

  • Prepare treasury reporting, financial modelling, and scenario analysis for management and board reporting.

  • Manage treasury investments, banking relationships, and foreign exchange activities across multiple jurisdictions.

About you:

  • CA, CPA or similar qualification with 5+ years of treasury, banking, or corporate finance experience.

  • Strong cash flow forecasting, debt management, and financial modelling capability.

  • Experience working with lenders, funding facilities, and covenant reporting.

  • Property, infrastructure, hospitality, or investment industry experience will be highly regarded.

Stay Safe While Job Hunting

We vet all employer accounts and do our best to keep job ads safe, but scams can still occur. Be cautious when sharing personal information — never provide financial details or make payments during the application process. For extra security, use the Apply button on our site when proceeding.

Skills

0 of 14 matched
Cash flow forecastingCovenant complianceDebt managementFinancial analysisFinancial modellingForeign exchange activitiesFunding facilitiesLender reportingProblem solvingScenario analysisStakeholder managementTeamworkTime managementTreasury operations

Licenses & certifications

0 of 2 matched
CaCpa

TOM Australia