Collins Executive Recruitment has been exclusively mandated to appoint a Group Treasury Manager with one of Australia’s most respected non-bank financial groups. This is an opportunity to join an entrepreneurial, values-led credit-lending organisation that combines the infrastructure of a mature financial services business with the innovative mindset of a scale-up. With strong capital backing, a digitally native operating model, and an exceptional leadership team, the company is exceptionally positioned for its next chapter of growth. Recognised for its creditworthiness and rigorous risk management, the group has built a reputation for strength, innovation, and resilience. Offering a diversified suite of products, with a new offering set to come to market, it is also recognised for its strong ESG performance and inclusive workplace culture. Why Join?The culture is collaborative, low-ego, and high-performance. It is built on deep trust, shared accountability, and a strong commitment to internal mobility, with many senior leaders having progressed through the organisation. The business continues to invest meaningfully in its people, systems, and long-term innovation. The OpportunityThis is a highly strategic role. Partnering closely with the CFO, you’ll lead funding and capital management strategy, shape the balance sheet, and manage relationships with banks, rating agencies, trustees, and global investors. You’ll be supported by a high-performing Treasury team managing day-to-day execution, giving you scope to focus on capital markets strategy, investor engagement, and forward-looking initiatives. Upon successful hire, you will be:Leading securitisation programmes and term funding transactions end-to-end, innovating structures to optimise cost of funds.Creating durability in the funding program by broadening access to domestic and international debt investors.Developing the strategic treasury plan each year, including industry, product, and economic research aligned to corporate growth initiatives.Forecasting medium and long-term funding requirements and advising senior leadership on capital and liquidity strategy.Driving diversification and resilience in funding sources to stay ahead of market cycles.Managing foreign currency and interest rate exposures through appropriate hedging strategies.Producing incisive research, analysis, and presentations for the Board, rating agencies, and investors.Building and mentoring a high-performing Treasury team, fostering innovation, excellence, and accountability. Who You AreYou're a seasoned Treasury professional with deep, proven expertise in capital markets, funding strategy, and especially securitisation. You combine technical mastery with the gravitas to confidently engage with global investors and financial partners. You thrive on complexity, possess an unwavering eye for detail, and bring both clarity and disciplined execution to every initiative. You don’t just manage funding; you see it as a strategic advantage, relentlessly optimising financial positions for sustainable growth. You operate with both a strategic mindset and a hands-on approach. Would you like to hear more?Please click 'apply' to be considered for this and other relevant opportunities. All applications and conversations are confidential.