Treasury Manager - Sydney - Australia

Posted 3 Days Ago
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Sydney, New South Wales, AUS
In-Office
Senior level
Fintech • Software • Financial Services
The Role
Oversee ANZ treasury operations, including cash funding across multiple currencies and bank accounts, cash forecasting, reconciliations, payment processing, liquidity optimisation, and intercompany fund repatriation. Execute spot and forward FX trades while managing exposure within group policy. Support the IT2 treasury management system, treasury reporting, working capital utilisation, and cross-functional stakeholder collaboration.
Summary Generated by Built In

Join Travelex and inspire adventure.

Since 1976, Travelex has helped millions of travellers explore the world with confidence. Over 50 years we’ve grown from a currency exchange bureau to a global travel money brand operating across 20 countries with 5,000+ colleagues, creating smarter, faster and more flexible ways for people to spend abroad.

From airport terminals to digital wallets, retail stores to social feeds, we sit at the crossroads of travel, technology, retail and culture. And as travel evolves, so do we.

That’s where you come in.

We’re looking for a Treasury Manager to oversee the day to day treasury operations for the ANZ business. This role will have a particular focus on the daily cash management function. You will execute the FX trades as required to fund bank accounts with a view to having the right funds in the right currency at the right time.

If you thrive in fast-moving, continually changing environments, have a keen eye for maximising efficient liquidity usage, and possess a strong process improvement mindset, this could be your boarding call.

The Role: Treasury Manager

The Treasury Manager is responsible for cash management across multiple bank accounts in multiple currencies. You will also provide immediate term (next four weeks) forecasting and reporting of prior days cash actuals to the greater business.

Reporting to the Head of Treasury in Sydney, you’ll be responsible for executing spot and derivative trades while also keeping FX exposure minimised and within group policy. This agile role requires thoughtful and profit bearing cash management experience.

What’s in It for You?

A competitive salary package doing great creative work for an internationally recognised brand. Our culture fosters curiosity, trust, excellence, and fun.

  • Flexible hybrid working arrangements
  • Premium Martin Place office with stunning views
  • Fantastic discounts on travel money
  • Regular social events
  • Bonus paid Birthday and Moving Leave
  • Staff discounts on private healthcare
  • Unique benefits such as Paid Parental leave, health & well being programs, social club and more
  • A fun, positive and team-oriented workplace culture that values work-life balance
  • We have partnered with Flare Benefits for even more perks

Key Responsibilities

  • Managing appropriate cash funding across 25 bank accounts in multiple currencies as well as the repatriation of funds between ANZ and other Group entities
  • Accurate forecasting and daily reconciliation of cash and actuals to liquidity committee
  • Ensure payments are processed, authorised, and released within timeframes.
  • Daily support of IT2 treasury management system and providing support and coverage as necessary for the greater treasury team
  • Support effective working capital utilisation and maximised liquidity usage within cross-departmental teams within ANZ
  • FX risk management via execution of spot and forward trades to keep FX exposure minimised and within group policy
  • Strict adherence to and firm grasp of treasury policy and procedures

The Ideal Candidate Will Have

  • Minimum 5 years experience in financial markets, banking operations or Treasury overall.
  • Prior achievement in managing and maintaining cash forecasting.
  • Ability to work cross-departmentally, building strong relationships both internally and externally.
  • A recognised ACT or accountancy qualification.
  • Solid skills in IT2 and Oracle will be highly regarded.
  • Excellent time management and organisational skills as well as an agile mindset.
  • Strong verbal and written communication skills.

Additional Skills & Qualities

  • Stakeholder collaboration: working effectively with Finance, Treasury and Retail teams.
  • Proactive Attitude: Resourceful, solution-focused, and eager to take initiative.
  • Alignment with Our Values: Set the Standard, Succeed as One, Be Curious, Trust Breeds Magic, Sense of Fun, Stress Less.

Why Travelex?

At Travelex, you’ll join a team that moves fast, thinks globally and genuinely enjoys what they do. You’ll work be an integral part of the continued success of a business that has evolved over the past 50 years and help create the pathway for the adventure ahead.

We’re big believers that great ideas can come from anywhere. Curiosity is encouraged. Collaboration is expected. And personality is welcome.

At Travelex, we are committed to fostering an inclusive and diverse workplace. We welcome applicants from all backgrounds and do not discriminate based on race, religion, gender, sexual orientation, age, disability, or any other protected status.

Skills Required

  • Minimum 5 years of experience in financial markets, banking operations, or treasury
  • Experience managing and maintaining cash forecasts
  • Ability to work cross-departmentally and build strong internal and external relationships
  • Recognised ACT or accountancy qualification
  • Strong time management and organisational skills
  • Strong verbal and written communication skills
  • Experience with IT2 and Oracle
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The Company
HQ: London
4,600 Employees

What We Do

Founded in 1976 Travelex has grown to become one of the market leading specialist providers of foreign exchange products, solutions and services, operating across the entire value chain of the foreign exchange industry in more than 20 countries. We have developed a growing network of over 1,550 sites, including stores and ATMs, in some of the world’s top international airports and in major transport hubs, premium shopping malls, high street locations, supermarkets and city centres. Travelex has built a growing online and mobile foreign exchange platform, and we also process and deliver foreign currency orders for major banks, travel agencies and hotels worldwide. In addition, we source and distribute large quantities of foreign currency banknotes for customers on a wholesale basis - including for central banks and international financial institutions. We also offer a range of remittance and international money transfer products around the world.

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