Own the insights that protect liquidity and guide smarter financial decisions.
ABOUT THE OPPORTUNITY
We’re looking for a Senior Analyst to drive Group cash visibility and liquidity forecasting. Own the 13-week cash forecast, deliver decision-ready treasury reporting, and partner across the business to proactively identify risks, improve forecast accuracy, and support informed financial decisions. This role will be onsite in our South Bank, QLD HQ.
KEY RESPONSIBILITIES
Cash Management & Liquidity