- Sydney, New South Wales, Australia
- Permanent, Full time
- Macquarie Group
- 20 May 19
Analyst Group Treasury
Analyst Group TreasuryImmerse yourself in a challenging and fast paced environment and join our Group Treasury Financial Markets team.
Group Treasury Markets sits within the Financial Management Group and is responsible for Macquarie's Liquidity Management, Interest Rate Risk, Short- and Long-term funding and the Liquid Asset Portfolio.
In the role you will gain exposure to a variety of desk functions including pricing and hedging of funding to internal businesses and Trade/deal booking across all products and financial instruments. In addition, you will be involved with monitoring and reconciliation of Risk positions and analysis of Macquarie's Liquid Asset Portfolio. Further, you will be responsible for reporting and adherence to both internal and regulatory liquidity requirements at all times
This role will suit you if you are analytical, are commercially minded and enjoy problem solving. In addition, you will have a high level of attention to detail and the ability to adapt to different environments and to prioritise conflicting demands coupled with a university degree in a related field.
If you have a passion for financial markets, please apply now by following the link. For a confidential discussion, call Jennifer Leese on (02) 8232 8783.
The Financial Management Group provides financial, tax and treasury services to all areas of Macquarie. The group is focused on providing strategic analysis and advice to Macquarie's businesses and senior management, managing Macquarie's funding, liquidity and capital position, ensuring Macquarie continues to meet regulatory and compliance obligations and managing Macquarie's corporate communications and investor relations.
Find out more about Macquarie careers at www.macquarie.com/careers
We facilitate a range of flexible working arrangements within our teams. Talk to us about what flexibility may be available.
Advertised: 16 Apr 2019 AUS Eastern Standard Time