Senior Treasury Analyst at Gallagher
Sydney, New South Wales, Australia -
Full Time


Start Date

Immediate

Expiry Date

22 Jun, 26

Salary

0.0

Posted On

24 Mar, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Forecasting, Cashflow Forecasting, Treasury Operations, Payments Processing, Investment Management, Liquidity Management, Netting, Global Performance Analysis, Bank Administration, Process Improvement, Compliance Review, Analytical Skills, Communication Skills, Project Management, Advanced Excel, Kyriba Utilization

Industry

Insurance

Description
Introduction Welcome to Gallagher - a global community of people who bring bold ideas, deep expertise, and a shared commitment to doing what’s right. We help clients navigate complexity with confidence by empowering businesses, communities, and individuals to thrive. At Gallagher, you’ll find more than a job; you’ll find a culture built on trust, driven by collaboration, and sustained by the belief that we’re better together. Whether you join us in a client-facing role or as part of our brokerage division, our benefits and HR consulting division, or our corporate team, you’ll have the opportunity to grow your career, make an impact, and be part of something bigger. Experience a workplace where you’re encouraged to be yourself, supported to succeed, and inspired to keep learning. That’s what it means to live The Gallagher Way. Overview Gallagher is a global leader in insurance broking, risk management, and consulting, with over 71,000 employees across 130 countries. We’re proud to be recognised as one of Insurance Business Australia’s Top Insurance Employers and Forbes Best Employer for Women. At Gallagher, we live by our Shared Values, The Gallagher Way, and are committed to being a socially responsible and ethical organisation. About the Role: We’re looking for an experienced Senior Treasury Analyst to join our growing team. This newly created role offers the chance to work on international cash operations and reporting initiatives, while driving process improvements and collaborating across divisions and integration projects. What You’ll Do: • Cash Forecasting & Reporting: Lead cashflow forecasting, optimise models, and deliver insights to leadership • Treasury Operations: Manage daily cash positioning, payments processing, and investments while supporting cross divisional transactions • Treasury Management System: Utilise Kyriba tools to automate reporting, manage liquidity & netting, and analyse global performance • Bank Administration: Build strong relationships with external treasury partners, manage accounts, and stay ahead of market trends • Project Initiatives: Support projects, identify process improvement and delivery compliance review response What We’re Looking For: • Bachelor’s degree in Finance, Business, Accounting, or related field (CPA is advantageous) • 3+ years’ experience in treasury operations, analysis, or forecasting for a large firm • Proficiency with Treasury Workstation (Kyriba or similar) and advanced Excel skills • Strong analytical and communication skills, with the ability to manage multiple projects with deadlines • Multilingual candidates highly desirable Why Join Us? At Gallagher, we offer exceptional benefits and career development opportunities, including: • Tuition assistance and personalised career pathways • Wellbeing programs and paid volunteering days • Additional weeks’ Lifestyle leave and salary-sacrificed superannuation options • Gallagher Rewards with discounts at 350+ major retailers • Employee Stock Purchase Plan to invest in our growth potential Ready to Apply? Take the next step in your career and join a global leader that values diversity, equity and inclusion. Apply now via our careers website, Gallagher Careers or for further information, please contact our Talent Acquisition team at careers@ajg.com.au Gallagher is an Equal Employment Opportunity (EEO) employer committed to creating a workplace that embraces diversity and inclusion.
Responsibilities
The Senior Treasury Analyst will lead cash flow forecasting, optimize models, and manage daily treasury operations including cash positioning, payments, and investments. This role also involves utilizing the Kyriba Treasury Management System for automation and analysis, and supporting various project initiatives.
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