Treasury Analyst – Mortgages

Banking & Finance

Sydney

Hybrid

AUD 120,000 - 170,000

Full time

3 days ago
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Benefits offered by this job

Work from home 1 day a week
Employee benefits program
Career progression opportunities

Job summary

Banking & Finance is seeking a senior treasury professional to oversee securitisation trusts, manage cashflow and liquidity, and assist with new warehouse facilities. The role involves preparing investor materials, board reports, and close collaboration with the Treasury team in a fast-paced, growth-oriented environment.

Ideal candidates have extensive experience in financial services treasury, securitisation, and debt capital markets, with a degree in accounting or finance and a postgraduate

Qualifications

  • Seasoned financial services treasury professional with securitisation experience.
  • Securitisation trust management experience in financial services sector (bank, non-bank lender, trustee or ratings agency).
  • Degree in accounting/finance with post-graduate qualification; debt capital markets exposure is a plus.

Responsibilities

  • Manage existing securitisation trusts.
  • Manage trust cashflow and liquidity requirements including drawdowns.
  • Develop cashflow models and run waterfall calculations.
  • Prepare investor presentations.
  • Assist with board reports.
  • Collaborate with Treasury team on new warehouse facilities.

Skills

Excel
Analytical skills
Communication
Team player

Education

Bachelor's degree in accounting/finance
Postgraduate qualification in accounting or finance

Tools

Cashflow modelling

Job description

September 28, 2026Banking & FinanceSydney

  • Work from home 1 day a week
  • Trust Management

This non-bank lender is a leader across Australia in Finance products. With a growing presence across a variety of lending options, this organisation is winning accolades for its innovative approach to financial services.

Reporting to the Treasury Manager for this division, this role is crucial to the effective operation of the funding and securitisation activities of the organisation. This is a permanent role with lots of scope for career progression.

This is a hands‑on position with a great chance to capitalise on your treasury experience and gain experience in a senior role. The key facets of your daily activities will include trust management functions and be involved with the establishment of new warehouse facilities

Your Responsibilities will include:

  • Manage existing securitisation trusts
  • Trust cashflow/liquidity requirements incl drawdowns
  • develop cashflow models and run waterfall calculations
  • Prepare investor presentations
  • Assist with board reports
  • Work closely with Treasury team on new warehouse facilities

To be successful in this role you will be an experienced financial services treasury professional and an excellent communicator. It is essential that your securitisation trust management experience has been gained in the financial services sector, possibly in either a bank, non bank lender, trustee company or ratings agency. You will hold a relevant degree and most likely a post graduate qualification in an accounting or finance discipline. Candidates who have worked in debt capital markets will be favourably considered.

This role will enable you to showcase your strong excel and analytical skills. To succeed in this position, you would be a strong team player who enjoyed working in a busy, fast paced environment where your contribution is valued. This organisation has a comprehensive employee benefits program with ample opportunity for career growth.

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