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Metro location plus common early-career finance role increases candidate density, but role-specific treasury skills moderate competition.
Treasury and liquidity skills are finance-specific and transfer mainly within finance functions across industries.
Explicit 1-2 year treasury requirement plus modelling and BI skills makes filtering moderately strict.
Manage daily global cash positioning, weekly and quarterly liquidity and capital forecasting, and balance sheet forecasting across multiple entities and currencies.
Develop and continuously improve cash flow and product funding financial models to support business planning and product expansion.
Support debt financing strategies, intra-group funding arrangements, and risk management including FX and interest rate hedging implementation and reporting.
1-2 years of experience in treasury liquidity and capital management.
Prior experience in financial services, preferably in a technology-driven and scale-up environment.
Intermediate to advanced financial modelling skills and strong accounting knowledge including cash-flow forecasting.
Experience with BI reporting tools (Looker, Power BI, Tableau) is desirable but not mandatory.
Experienced in operating within dynamic, fast-paced financial services environments with growth focus.
Strong ownership mentality with ability to work independently and improve financial models proactively.
Capable of collaborating cross-functionally with product and business teams for strategic financial alignment.