Corporate Finance & Treasury Manager

Future Secure AI

Sydney

On-site

AUD 140,000 - 220,000

Full time

14 days+
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Job summary

Future Secure AI is seeking a Corporate Finance & Treasury Manager to own cash flow and liquidity, lead long-range planning, and support investor relations. Reporting to the Head of Management Accounting, you will drive financial modelling and provide strategic insights to executives.

You will collaborate with the finance team, manage treasury activities, and contribute to capital planning and due diligence processes.

Qualifications

  • 5+ years of treasury and corporate finance experience.
  • Strong cash flow and liquidity management across regions.
  • Experience with complex financial modelling.
  • Understanding of cash flow, balance sheet and capital structure.
  • Autonomous with end-to-end ownership of workstreams.
  • Excellent communication and presentation skills for senior stakeholders.
  • Experience in high-growth technology or AI companies.
  • Exposure to fundraising, capital markets, or IPO transactions.

Responsibilities

  • Own the cash flow forecast and reconcile to actuals.
  • Manage liquidity model, runway, and risks.
  • Oversee treasury operations including banking relationships and FX.
  • Support funding activities as required.
  • Lead long-range planning model and scenario analysis.
  • Translate business objectives into financial projections.
  • Prepare investor materials, board packs, and schedules.

Skills

Treasury & corporate finance
Cash flow management
Financial modelling
Autonomy
Business partnering
Stakeholder communication

Education

CA/CPA/CFA or equivalent

Tools

Financial modelling tools

Job description

At Future Secure AI, we're building something genuinely new — and we're looking for people bold enough to build it with us. We work at the frontier of AI, tackling big, real-world problems for global enterprises across multiple industries, armed with state-of-the-art technology and a culture that prizes courage, rigor, and relentless curiosity. Our BRAVER values aren't just words on a wall — they describe the kind of people we are and the standard we hold ourselves to every day. Our leadership team is entrepreneurial, experienced, and accessible, with an open-door policy that means you'll never be just a number here. We invest seriously in your growth because we know our success depends on yours. If you're ready to work alongside some of the brightest minds in the industry, push into uncharted territory, and do work that genuinely matters, Future Secure AI is the place for you.

Role Overview

The Corporate Finance & Treasury Manager is responsible for cash flow and liquidity oversight, long-term financial planning, and provide support in maintaining the organisation’s financial model for valuation purposes. Reporting to the Head of Management Accounting, this role is the primary owner of cash flow management whilst also serving as a trusted internal resource for long term planning and scenario modelling.

Key Responsibilities:
Cash Flow and Liquidity
  • Own the cash flow forecast, reconcile to actuals on a periodic basis, and maintain it as an accurate, dynamic view of the organisation’s cash flow position
  • Own the liquidity model, ensuring sufficient runway and flagging risks proactively
  • Manage treasury operations including cash management, bank relationships, and FX exposure where applicable
  • Support funding activities as required
Long-Range Planning and Scenario Analysis
  • Lead the development and maintenance of the long-range financial planning model, to allow for capital planning as well as scenario analysis
  • Support the development of the company’s financial framework and translate framework objectives as well as strategic business objectives into financial projections and scenario models
  • Extract insightful commentary from long term planning processes, useful for management and Board consumption.
Investor & Board Reporting
  • Provide support in maintaining the company’s financial model for investor valuations, keeping it current, accurate, and well-documented
  • Assist in preparation of investor-facing financial materials, board packs, and financial schedules as required
  • Maintain accurate and consistent financial data used for external reporting
  • Support due diligence processes for capital transactions as required
Business Partnering
  • Collaborate with the business and the FP&A Manager to keep the long-range plan and operational forecasts aligned
  • Serve as the key financial modelling and analytical resource in supporting business decisions
  • Work collaboratively with the rest of the Finance team
Skills & Experience
Required
  • 5+ years of experience in treasury and corporate finance
  • Strong cash flow and liquidity management experience, ideally across multiple regions
  • Experience with complex financial modelling
  • Strong understanding of cash flow, balance sheet, and capital structure
  • Ability to work with a high degree of autonomy and own workstreams end-to-end
  • Strong commercial acumen and ability to frame financial analysis in a business context
  • Excellent communication and presentation skills, including the ability to present to senior stakeholders
  • Experience in a high-growth technology or AI company
  • Exposure to fundraising, capital markets, or IPO transactions
  • CA, CPA, CFA or equivalent professional qualification
Desirable
  • Experience in a high-growth technology or AI company
  • Exposure to fundraising, capital markets, or IPO transactions
  • CA, CPA, CFA or equivalent professional qualification
Future Secure AI Privacy Policy

At Future Secure AI, we are committed to protecting your privacy and adhering to the principles of the General Data Protection Regulation (GDPR) and the Australian Privacy Principles (APPs) under the Privacy Act 1988 (Cth). Our Privacy Policy outlines how we collect, use, share, and protect your personal data when you visit our website atwww.futuresecure.ai(the "Website") and use our services.

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