JOBĀ DETAILS
Funding is a leading financial services company specialising in bridging loans, building loans, business loans, and income trusts. We are committed to providing innovative financial solutions and exceptional service to our clients.
Funding operates Australia wide, with our head office located on the Gold Coast. Our team is dedicated to achieving outstanding results and exceptional customer experiences.
About the Role
Weāre looking for a highly skilled, hands-on and motivated Treasury Manager to join our growing team and portfolio of mortgage funds.
Reporting directly to the CEO/Head of Finance/Head of Portfolio in this role youāll be responsible for the day-to-day financial management for Fundingās trusts and securitisation warehouses, working closely with external stakeholders and our close-knit team of fellow financial services professionals based here in the heart of the Gold Coast.
What Will You Be Doing?
- Execute treasury operations, including capital, funding, liquidity, securitisation, financial risk management and treasury reporting.
- You will ensure Funding maintains an optimal capital structure, a robust liquidity profile, and the financial agility required to meet our strategic goals.
- Optimise liquidity and investment portfolios to meet cash flow needs and maximise returns / best commercial outcomes.
- Ensuring compliance with our debt and fund obligations, parameters and criteria.
- Deliver operational excellence and accuracy in the recording and reporting of financial transactions and records.
- Manage counterparty relationships and transaction execution.
- Take ownership for the preparation of monthly reporting on warehouses, distributions and cashflows
- Assist with the onboarding of new investors, investor management activities and preparation of investor comms and reporting.
- Support the development of enhanced risk-management and compliance activities across our various fund and trust structures.
- Identify and champion smarter ways of working to further leverage and enhance our tech enabled systems and processes.
- Liaise with external stakeholders and service providers as required from time to time.
- Support the wider Finance and Investment teams to deliver ongoing continuous improvement to boost productivity and operational efficiency.
What Are We Looking For?
- A ācan-doā attitude and proven ability to work collaboratively within a small but growing team
- A relevant tertiary qualification in accounting, finance, or a related field (CA/CPA/CFA highly regarded)
- Demonstrated post-qualification experience in a treasury or financial risk role within financial services or commercial banking
- A background in and knowledge of AFSL and AML/CFT compliance programmes would be highly valued
- Advanced Excel skills with a demonstrated ability to effectively and efficiently collect, manipulate, report and interpret diverse data-sets. BI reporting skills would be highly regarded
- Comfortable dealing with change and a proven background in driving process improvement
- Highly organised with a focus on detail and delivering solution orientated outcomes
- Excellent communication and interpersonal skills
Requirements added by the job poster
⢠Bachelor’s Degree
⢠No need for visa sponsorship
⢠1+ years of work experience with Treasury Management
Are you interested in this position?
Apply by clicking on the āApply Nowā button below!
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