Treasury Operations Analyst

Metcash Group

Sydney

On-site

AUD 90,000 - 110,000

Full time

9 days ago
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Benefits offered by this job

5th week annual leave
Wellbeing days
Volunteer day

Job summary

Metcash invites you to join our Group Treasury team in Macquarie Park as a Treasury Operations Analyst. You will support treasury transactions, banking activities, cash management and reconciliations, while contributing to governance and controls across treasury operations.

This role suits detail-oriented finance professionals with experience in treasury, finance operations or banking operations who want to broaden their exposure in a collaborative corporate treasury environment.

Qualifications

  • Tertiary qualification in Accounting, Commerce, Business, Economics or Finance.
  • At least two years’ experience in corporate treasury, finance operations, accounts payable, banking operations or a financial markets environment
  • Experience processing financial transactions and completing reconciliations accurately
  • Working knowledge of accounting principles, financial controls and governance requirements
  • An understanding of cash management, banking products, loans, deposits, foreign exchange contracts or financial derivatives
  • Experience using banking platforms, ERP systems or financial information processing systems
  • Strong Microsoft Excel skills
  • Excellent attention to detail and a commitment to producing accurate, high-quality work
  • Strong organisational skills with the ability to manage competing priorities and deadlines
  • Confident written and verbal communication skills, with the ability to build positive relationships across the business and with external banking partners
  • A proactive approach to problem-solving, learning and continuous improvement
  • Exposure to Treasury Management Systems such as Kyriba, Quantum, FIS, IT2 or similar would be advantageous, but isn’t essential

Responsibilities

  • Process and settle treasury transactions, including debt servicing, interest payments, derivative settlements and intercompany funding
  • Monitor daily cash movements, bank transfers and account balances
  • Support daily cash position reporting
  • Assist with opening and closing bank accounts, banking mandates and authorised signatory registers
  • Administer user access and maintain profiles across banking platforms and Treasury systems
  • Coordinate the issuance, amendment, reporting and cancellation of bank guarantees
  • Prepare Treasury-related journals, including interest accruals, foreign exchange entries and intercompany funding transactions
  • Complete monthly balance sheet reconciliations and support month-end and year-end processes
  • Maintain accurate records and reporting for customer and joint venture loans
  • Manage enquiries through the Treasury Service Centre mailbox
  • Support internal and external audit requests
  • Identify opportunities to improve Treasury processes, reporting and operational efficiency
  • Provide broader operational support to the Treasury team, including project and leave coverage

Skills

Detail oriented
Treasury operations
Cash management
Banking operations
Reconciliations
Communication
Problem solving
Time management

Education

Accounting or Finance degree

Tools

Kyriba
Quantum
FIS
IT2
ERP systems

Job description

Join our Group Treasury team and play a key role in supporting the accurate, timely and well-controlled delivery of treasury operations across Metcash.

Treasury Operations Analyst

Location: Macquarie Park, NSW | Full-time

Join our Group Treasury team and play a key role in supporting the accurate, timely and well-controlled delivery of treasury operations across Metcash.

About the Opportunity

We’re looking for a detail-oriented Treasury Operations Analyst to join our Finance team in Macquarie Park.

Reporting to the Group Treasurer, you’ll provide operational, administrative and accounting support across treasury transactions, banking activities, cash management, loans and financial reconciliations. You’ll help maintain strong governance and controls while delivering responsive support to our internal teams and external banking partners.

This is a great opportunity for someone with experience in treasury, finance operations, banking operations, accounts payable or financial markets who is ready to broaden their exposure within a collaborative corporate treasury environment.

What You’ll Be Doing
  • Process and settle treasury transactions, including debt servicing, interest payments, derivative settlements and intercompany funding
  • Monitor daily cash movements, bank transfers and account balances
  • Support daily cash position reporting
  • Assist with opening and closing bank accounts, banking mandates and authorised signatory registers
  • Administer user access and maintain profiles across banking platforms and Treasury systems
  • Coordinate the issuance, amendment, reporting and cancellation of bank guarantees
  • Prepare Treasury-related journals, including interest accruals, foreign exchange entries and intercompany funding transactions
  • Complete monthly balance sheet reconciliations and support month-end and year-end processes
  • Maintain accurate records and reporting for customer and joint venture loans
  • Manage enquiries through the Treasury Service Centre mailbox
  • Support internal and external audit requests
  • Identify opportunities to improve Treasury processes, reporting and operational efficiency
  • Provide broader operational support to the Treasury team, including project and leave coverage
What You’ll Bring
  • A tertiary qualification in Accounting, Commerce, Business, Economics or Finance
  • At least two years’ experience in corporate treasury, finance operations, accounts payable, banking operations or a financial markets environment
  • Experience processing financial transactions and completing reconciliations accurately
  • Working knowledge of accounting principles, financial controls and governance requirements
  • An understanding of cash management, banking products, loans, deposits, foreign exchange contracts or financial derivatives
  • Experience using banking platforms, ERP systems or financial information processing systems
  • Strong Microsoft Excel skills
  • Excellent attention to detail and a commitment to producing accurate, high-quality work
  • Strong organisational skills with the ability to manage competing priorities and deadlines
  • Confident written and verbal communication skills, with the ability to build positive relationships across the business and with external banking partners
  • A proactive approach to problem-solving, learning and continuous improvement
  • Exposure to Treasury Management Systems such as Kyriba, Quantum, FIS, IT2 or similar would be advantageous, but isn’t essential
Why Join Metcash

We’re proud to offer a workplace that supports your wellbeing, growth and success:

Extra Leave: Enjoy a 5th week of annual leave, 2 wellbeing days and 1 volunteer day annually

Career Growth: Access learning, development and career progression opportunities

Parental Leave: 12 weeks of gender-neutral paid parental leave for primary carers

Inclusive Culture: Proud Bronze Employer for LGBTQ Inclusion

Gender Equity: Gender pay gap under 5%

Wellbeing: Gold accreditation by Mental Health Australia

Flexibility: FlexReady accredited workplace

Team Member Benefits: Exclusive discounts through the Our Local app

Apply Now

If you’re an accurate and organised finance professional who enjoys working with numbers, systems and stakeholders, we’d love to hear from you. Join Metcash and build your treasury experience while supporting the business that powers an independent Australia.

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