Head of Treasury & Financial Performance

Full Time
  • August 28, 2026
  • Employment Info

    JOBĀ  SUMMARY

    The Role

    We are seeking a senior leader who can provide structure, oversight and strategic direction across treasury, funding, liquidity and financial performance.

    Key responsibilities will include:

    • Leading cash flow, liquidity and capital forecasting across the business
    • Managing debt facilities, funding requirements, refinancing activity and covenant compliance
    • Supporting capital allocation, equity funding and capital recycling decisions

    Interest rate hedging, liquidity risk, counterparty risk and broader financial

    • risk management
    • Managing the organisation’s insurance program, including broker engagement and annual renewals
    • Owning financial performance reporting for executive, board and shareholder audiences
    • Overseeing property valuation processes, including external valuer engagement, analytical review and reporting
    • Supporting the review and enhancement of treasury systems, reporting tools and data integrity
    • Partnering with development, investment and asset management teams to provide commercial financial insight
    • Building capability across treasury, reporting, modelling and financial governance

     

    About You

    You will be an experienced senior leader from a property, real estate, infrastructure, funds management or capital-intensive environment where treasury, funding, capital management and financial performance reporting are closely linked.

    You will bring strong technical finance capability, but also the commercial confidence to work with senior stakeholders and influence decisions across the business.

    The ideal background will include:

    • Tertiary qualifications in Accounting, Finance or a related discipline
    • CA / CPA qualification
    • Strong treasury, capital management or corporate finance experience
    • Experience managing debt facilities, refinancing activity and banking relationships
    • Understanding of property development, real estate investment or fund structures
    • Strong financial forecasting, modelling and analytical capability
    • Experience with management reporting, board reporting and performance insights
    • Exposure to valuations, insurance, hedging or broader financial risk management

    Strong stakeholder engagement skills across executives, boards, lenders,

    • brokers and external advisers
    • Experience improving systems, reporting frameworks or treasury processes

     

     

     

    Are you interested in this position?

    Apply by clicking on the ā€œApply Nowā€ button below!

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