Treasury Officer 12 month contract Sydney, Brisbane, or Melbourne Australian Citizens Only About the Role Reporting into the Treasury team, you will support liquidity management, cashflow forecasting, and day-to-day treasury activities. This role offers broad exposure across key treasury functions and is ideal for someone eager to develop their career in finance. Key Responsibilities Assist with cashflow forecasting and liquidity management across the group Perform daily cash positioning , bank reporting, and reconciliations Prepare and process treasury-related journals Support month-end (EOM) reporting and close processes Contribute to continuous improvement of treasury processes About You Degree in Finance, Accounting, Economics, or a related field Strong interest in treasury, cash management, or financial operations High attention to detail and strong organisational skills Ability to work effectively in a fast-paced environment Strong communication and stakeholder management skills Intermediate Excel skills (desirable) How to Apply: To apply, click the Apply Now button and send your up-to-date resume, for a confidential discussion call us now on 02 5119 3133. Applications received after submission may be considered for similar roles. If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career. Reference number: 1724203 Profession:Banking, Superannuation & FinanceOther (Banking, Superannuation & Finance) Company: Onpoint 365 Date posted: 28th May, 2026