Senior Treasury Analyst | Senior Associate at pwc
Sydney, New South Wales, Australia -
Full Time


Start Date

Immediate

Expiry Date

19 Apr, 26

Salary

0.0

Posted On

19 Jan, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Liquidity Management, FX Transactions, Treasury Management Systems, Hedge Accounting, Financial Derivatives, Analytical Thinking, Communication, Attention to Detail, Continuous Improvement, Excel Skills, Alteryx Skills, Teamwork, Autonomy, Active Listening, Escalation Management

Industry

Professional Services

Description
Line of Service Internal Firm Services Industry/Sector Not Applicable Specialism IFS - Finance Management Level Senior Associate Job Description & Summary As a Senior Treasury Analyst | Senior Associate, you'll play a vital role in optimizing financial strategies and ensuring liquidity management, working with clients across diverse industries. This position not only allows you to drive impactful solutions but also offers strong potential for growth, based on your performance and dedication. Your contributions are crucial in aligning financial goals with broader organizational objectives, creating pathways for both personal and professional development. Why PwC? At PwC Australia, your skills meet purpose. We tackle big challenges across industries like finance, technology, energy, and health—giving you the chance to make a real impact. Here, your growth is our priority. You’ll work with leading teams, explore new technologies, and unlock your full potential. Join a global community of more than 370,000 people who value bold ideas, collaboration, and lasting change. Together, we’re building trust and shaping the future. What you’ll do: Involve in daily cash management and cash forecasting activities and support the Group Treasurer in liquidity planning. Assist in dealing, execution, and confirmation of FX transactions to ensure compliance with the Treasury Policy. Manage the entering and maintenance of all treasury transactions (FX hedging, interest rate instruments, investments, and borrowings) in the Treasury Management System (Gtreasury). Conduct hedge accounting and fair valuation of derivative instruments in accordance with AASB 9 and AASB 7. Assist with audit preparations and collaborate on month-end activities, including accounting, reconciliation, and reporting tasks, as well as participate in strategic treasury projects and initiatives to support the Group Treasurer as required. What we’re looking for: At least 3-4 years of corporate treasury experience in a mid to large size company, with some experience in coaching a junior team member and managing cash forecasting and liquidity management. Familiar with financial markets, executing and settling financial derivatives, and experienced in using Treasury Management Systems, especially GTreasury, banking portals, and the Bloomberg platform. Experienced in hedge accounting with a working knowledge of AASB 9 and AASB 7, and a team worker who can also work autonomously with strong Excel and Alteryx skills, and attention to detail. Possesses analytical thinking and is committed to continuous improvement of processes and controls. Demonstrates effective communication and active listening skills to facilitate feedback, escalation management, and collaboration across teams. What you’ll gain: The opportunity to work with leading organisations and cutting-edge technology that challenge and expand your expertise. Flexibility means trusting you to choose when, where, and how you work—balancing what’s best for you, your team, and your clients to grow and thrive together. Clear paths for career progression supported by continuous learning and leadership development. Generous leave entitlements to support your work-life balance - including floating public holidays, birthday leave and ability to purchase additional leave on top of your four weeks. A world-class parental leave policy offering up to 26 weeks of leave for caregivers, supporting your family and personal life. We know that perks are as important as your financial rewards. Explore all the benefits that PwC has to offer here. Ready to grow here and go further? Join PwC Australia as a Senior Treasury Analyst | Senior Associate and make an impact that goes beyond the expected. Apply now and take your next step with a team shaping the future. We’re committed to treating all our job applicants fairly and with respect, irrespective of their actual or assumed background, disability, neurodivergence, or any other protected characteristic. We want you to have every opportunity to thrive in our selection process. In the application form, you can let us know what adjustments you require during our recruitment process and/or any workplace accommodations you anticipate needing to help you perform your role. No agencies please: We kindly request that recruitment agencies do not submit CVs in response to this advertisement. We are only accepting applications direct from individuals. Education (if blank, degree and/or field of study not specified) Degrees/Field of Study required: Degrees/Field of Study preferred: Certifications (if blank, certifications not specified) Required Skills Optional Skills Accepting Feedback, Accepting Feedback, Active Listening, Analytical Thinking, Bank Financing, Cash Flow Analysis, Communication, Cost of Capital Analysis, Creativity, Credit and Market Risk Management, Deal Structures, Debt Structuring, Embracing Change, Emotional Regulation, Empathy, Escalation Management, Financial Forecasting, Financial Instruments, Financial Management, Financial Modeling, Financial Policy, Financial Risk Analysis, Financial Statement Analysis, Financing Solutions, Foreign Exchange {+ 30 more} Desired Languages (If blank, desired languages not specified) Travel Requirements Not Specified Available for Work Visa Sponsorship? No Government Clearance Required? No Job Posting End Date Are you ready to make a difference? Want to unlock new value by applying your unique perspective and talents? You can grow exponentially at PwC. Here, you can uncover hidden talents, build lifelong relationships rooted in trust and empathy and turn challenges into opportunities for innovation. We’ll help you grow your skills through challenging, meaningful work so you can go further.

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Responsibilities
The Senior Treasury Analyst will manage daily cash management and forecasting activities, support liquidity planning, and assist with FX transactions. The role also involves conducting hedge accounting and collaborating on month-end activities.
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