Large infrastructure group, based in Macquarie Park 6-month contract with the view to extend/ permanency Up to $500 super per day TOM People and I are working with a large infrastructure group to recruit an experienced Treasury Accountant with middle or back-office experience to join their high calibre Treasury team. This capital debt heavy business will gain you experience within a complex treasury function propel your accounting career within a well-known infrastructure group. Role responsibilities: Assisting month-end process through relevant treasury journals (IFRS 9), interest allocations and valuations. Partner with front-office on a timely manner for effective cash flow management. Cash flow forecasting and group reporting Maintaining treasury management system and coordinating payments. Contribute to the half & full-year external audit process Managing the monthly general ledger reconciliation process and other month-end items Perform inter-company reconciliations and group consolidation Provide accounting support to the Financial and Commercial Accounting teams. Help to drive process and system improvements to enhance the financial reporting. About you: CA or CPA qualified with hands on treasury accounting experience within a large, complex business. A go-getter with excellent communication skills and problem-solving ability Technical understanding of AASB/ IFRS application Next steps: If the role interests you, please click on the 'Apply' button now and share your latest CV. Alternatively, share your CV directly with me at