Treasury Manager at QIC Career Site New
Brisbane, Queensland, Australia -
Full Time


Start Date

Immediate

Expiry Date

05 Aug, 26

Salary

0.0

Posted On

07 May, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Debt Origination, Refinancing, Interest Rate Hedging, Liquidity Management, Financial Modelling, Capital Structuring, Treasury Strategy, Stakeholder Engagement, Risk Frameworks, Capital Markets, Funds Management, Treasury Governance

Industry

Financial Services

Description
Treasury Manager – Real Estate | QIC  Brisbane | New Opportunity    QIC Real Estate is seeking a high-calibre Treasury Manager to join a newly created role within our Treasury, Planning & Analytics function. Reporting to a long-standing and highly respected leader, this is a unique opportunity to step into a pivotal position with genuine breadth, influence and visibility across one of Australia’s leading institutional investment managers.    The Opportunity  This is not a traditional treasury role.  Sitting at the intersection of capital markets, funds management and real assets, you will play a central role in shaping and executing the capital strategy that underpins QIC’s Real Estate platform. You will work across the full lifecycle of treasury activities — from debt origination and refinancing through to interest rate hedging strategy, liquidity management and governance — supporting optimal investor outcomes across multiple funds and mandates.    You will engage broadly across QIC, partnering with Funds Management, Finance, Legal, Risk, Investment teams and senior leadership, as well as external financiers and investors, providing exposure to complex, high-value transactions and strategic decision-making.    About You  You will bring a strong foundation in treasury, finance or capital markets, ideally gained within real estate, banking or investment/funds management.    You are commercially astute, technically strong and thrive in environments that require both analytical depth and stakeholder engagement. Comfortable navigating complexity, you have experience working across transactions, financial modelling, and treasury strategy, and enjoy partnering across functions to deliver outcomes.      Why This Role Stands Out  Opportunities of this nature are rare.  * Enterprise-wide exposure – collaborate across QIC’s platform, gaining access to knowledge & skills covering diverse asset classes and strategic initiatives  * Transaction-focused – lead and support refinancing, capital structuring and debt origination activities in a dynamic investment environment  * Strategic impact – contribute to interest rate hedging strategies, capital management planning and investment decision support  * Leadership & development – work alongside an experienced and supportive manager known for investing in capability and fostering high performance  * A platform in growth – support a significant development pipeline and evolving treasury function, including new system implementation and innovation initiatives      Essential Criteria  * Experience in treasury, capital markets or funds management, with exposure to funding, debt or liquidity management activities  * Strong analytical capability, with the ability to interpret complex financial information and translate it into clear, commercially grounded insights  * Understanding of capital management and risk frameworks, including interest rate risk and hedging concepts  * A collaborative approach, with a demonstrated ability to build trusted relationships and work in partnership across teams to deliver outcomes  * High levels of integrity, accountability and sound judgement, with a focus on long-term, sustainable outcomes  * Proven ability to prioritise effectively and deliver with discipline in a dynamic, high-performance environment    Desired Criteria  * Experience within real assets, real estate or institutional investment environments  * Exposure to complex financing or capital structuring activities, including refinancing or transaction support  * Familiarity with debt markets, derivatives, structured or construction finance concepts  * A mindset of continuous improvement, with exposure to enhancing processes, systems or reporting  * Relevant tertiary qualifications in finance, commerce or a related discipline, with professional accreditation (e.g. CA, CFA) viewed favourably  * Experience using Bloomberg or GTreasury       About QIC  At QIC, we manage over A$100 billion in assets globally, driven by a clear purpose — delivering strong investment outcomes for our clients while creating long-term value for communities. Our Real Estate platform is a core pillar of this, underpinned by disciplined capital management and deep sector expertise.    If you are looking for a role that combines technical depth, strategic influence and broad exposure across a leading institutional platform — this is a career-defining opportunity.      ***We are not partnering with recruitment agencies for this appointment. Unsolicited agency CVs will not be accepted. Candidates should submit applications directly to QIC. If you require additional information, please contact Cassandra Eshman.***   
Responsibilities
The Treasury Manager will shape and execute the capital strategy for QIC's Real Estate platform, managing the full lifecycle of treasury activities. This includes debt origination, refinancing, interest rate hedging, and liquidity management across multiple funds.
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