Lead liquidity, funding and financial risk management Build and modernise treasury frameworks and systems Hands-on role with executive and external stakeholder exposure About the Role This is a newly created Senior Corporate Treasury Manager position within a large, complex organisation, established to uplift and modernise treasury capability. Reporting to the General Manager, Corporate Services, the role sits at the intersection of finance, strategy and governance, with strong exposure to executive leadership and external financial stakeholders. You will take ownership of the day-to-day treasury function, including cash and liquidity management, financial risk, funding and banking relationships. Beyond BAU, a core mandate of the role is to design and embed a contemporary treasury framework—moving from largely manual, legacy processes to a more structured, systemised and forward-looking function. Working closely with the finance team and external advisors, you will help shape treasury strategy, improve cash flow forecasting, support capital and funding decisions, and strengthen governance and policy settings. This is a highly hands-on role, combining technical execution with strategic input, and will suit someone who is comfortable both “on the tools” and influencing at a senior level. About You You are an experienced treasury or corporate finance professional who brings both depth of technical expertise and the ability to operate in an evolving environment. You are comfortable stepping into a function that is still maturing and are motivated by the opportunity to build capability, introduce structure and improve performance. You bring strong capability across liquidity management, financial risk, and funding, with exposure to debt markets, banking relationships and treasury systems. Importantly, you are hands-on and pragmatic, with the ability to work through detail while also contributing to broader financial strategy. You will likely demonstrate: Significant experience in corporate treasury, banking or corporate finance Strong technical capability across cash management, funding and financial risk Experience operating in complex, multi-stakeholder environments The ability to build and implement treasury frameworks, policies and processes Strong stakeholder engagement skills, with the ability to work effectively with finance teams, executives and external partners Professional qualifications such as CFA or CTP, and experience with treasury systems and advanced financial modelling, will be highly regarded. What Success Looks Like Success in this role will be defined by your ability to establish a more contemporary, effective and sustainable treasury function. In the first 12–24 months, this will include: Transitioning treasury from manual, legacy processes to a more structured, systemised approach Delivering accurate and forward looking cash flow forecasting that supports decision making Strengthening liquidity management and optimising the movement of funds Supporting funding activities and maintaining an efficient cost of capital Embedding clear treasury policies, governance frameworks and risk management practices Building strong relationships with internal stakeholders and external financial partners To apply : Please submit applications using the "Apply Now" button below. General inquiries to : For further information or a confidential discussion, please reach out to: Russell Fairbanks, Managing Director, Luminary, on Jane Ellis, Managing Partner, Luminary, on Luminary is committed to storing and utilising your information in accordance with the Privacy Act 1988. For further information regarding this please visit: >