Job description
Key Responsibilities
- Administer cash movements through bank accounts in collaboration with shared service providers
- Submit accurate cashflow forecasts into Treasury financial systems
- Support Financial Management activities alongside Business Finance teams
- Ensure compliance with cash management processes and documentation standards
Essential Requirements:
- A degree in Finance or Accounting + CPA qualification (or equivalent)
- Demonstrated experience in a similar corporate accounting role
- Strong coordination and documentation skills
- Experience with MyTreasur-e Treasury Management System is ideal
Benefits:
- Flexible hybrid working model (WFH & office in Parramatta)
- Competitive daily rate
- Immediate start with stable 6-month engagement
- Work with a collaborative and finance-savvy team
To be considered for the role click the 'apply' button or for more information about this and other opportunities please contact Christina Lawrence on 02 9464 5517 or email: [email protected] and quote the above job reference number.
Paxus values diversity and welcomes applications from Indigenous Australians, people from diverse cultural and linguistic backgrounds and people living with a disability. If you require an adjustment to the recruitment process, including the application form in an alternate format, please contact me on the above contact details.
