Senior Treasury Manager at PEXA Group
Melbourne, Victoria, Australia -
Full Time


Start Date

Immediate

Expiry Date

05 Dec, 25

Salary

0.0

Posted On

06 Sep, 25

Experience

8 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Finance, Communication Skills, Management Skills, Economics

Industry

Financial Services

Description

HI, WE’RE PEXA

Every time a house is bought, sold or refinanced in Australia your lawyer, conveyancer and lender will most likely use a digital platform to settle your property, this is where we come in. PEXA’s world-first digital settlement platform has revolutionised the way we exchange property in Australia helping over 20,000 people a week safely settle their homes. And this is just the beginning. Our data and insights are helping organisations unlock the intel they need to drive change and possibilities.
Since starting our journey in 2010, we now employ a team of over 1,000 people working across multiple continents. We’re still growing, innovating and looking ahead, but behind our greatest achievements, there is a team of curious creators and big thinkers. That’s why, we’re looking for ambitious people like yourself to join the team.

How To Apply:

Incase you would like to apply to this job directly from the source, please click here

Responsibilities

WHAT YOU’LL BE DOING

Reporting directly to the General Manager of Corporate Finance & Treasury, you will play a pivotal role in managing our Group’s treasury operations. This role offers an exciting opportunity to lead critical financial initiatives and shape treasury strategy for the group.

KEY RESPONSIBILITIES

  • Be accountable for the Groups balance sheet, overseeing global cash flow forecasting, strategic cash investments, and debt repayment scheduling
  • Lead treasury initiatives and transformation projects, including management of the RFI process
  • Build and maintain relationships with our providers with a view optimising cost of debt and capital structure
  • Ensure global subsidiaries maintain appropriate liquidity levels
  • Be the guardian of our treasury policies, ensuring compliance across the organisation
  • Present the annual Treasury Strategy to the Group’s Audit & Risk Committee
  • Provide strategic insights to manage our FX position
  • Work closely with the CFO to lead capital management initiatives, providing strategic counsel on dividends and capital returns
  • Lead capital structure assessment, optimization, and capital raising (debt & equity)
Loading...