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Treasury Manager jobs in Sydney NSW

• The average pay for Treasury Manager jobs in Sydney NSW is $131K per year.
• Entry-level positions start at $83K per year, while the most experienced workers can earn up to $197K per year.
7 companies are currently advertising Treasury Manager jobs in Sydney NSW including Macquarie Group, PwC, Prospa, T O M Executive and TPG Telecom.
• Top skills include TRADING, FINANCIAL MANAGEMENT, ADJUSTMENTS, STRONG COMMUNICATION SKILLS and CREDIT.
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Expiring in 4d
Full time · Permanent
Similar jobs pay ~$230k

Pay information not disclosed by advertiser

Key points we found

  • Own fuel and FX risk strategy across the Group
  • Analyse global markets to inform decisions
  • Execute hedging strategies across financial and commodity markets
Expiring in 4d
Full time · Permanent
Similar jobs pay ~$150k - $200k

Pay information not disclosed by advertiser

Key points we found

  • Lead the development and execution of debt financing and liquidity strategies.
  • Manage financial market risk strategies, including hedging activities.
  • Build and maintain strong relationships with banks and financing partners.
Expiring in 2d
Full time · Permanent
Similar jobs pay ~$120k - $150k

Pay information not disclosed by advertiser

Key points we found

  • Lead end-to-end audit reviews focusing on financial and non-financial risk management.
  • Collaborate with Treasury, Risk, and Audit specialists to provide independent assurance.
  • Coach team members and engage with senior stakeholders to shape the audit plan.
Expiring in 4d
Contract
Similar jobs pay ~$350k+

$600 - $800 pd

Key points we found

  • Join a globally connected financial services organisation in a key leadership role.
  • Oversee financial control and treasury-related activities with a focus on accuracy and integrity.
  • Drive process improvements and strengthen financial controls while partnering with key stakeholders.
Expiring in 4d
Contract
Similar jobs pay ~$90k - $120k

Pay information not disclosed by advertiser

Key points we found

  • Execute daily treasury operations including cash management and liquidity management.
  • Ensure timely and accurate reporting of treasury activities to stakeholders.
  • Collaborate with cross-functional teams to address treasury-related challenges.