CommBank

Manager Group Treasury Finance

Recruiter
CommBank
Location
Sydney CBD Area
Salary
Not disclosed
Posted
04 May 2022
Closes
17 May 2022
Ref
REQ160164
Approved employers
Approved employer
Contract type
Permanent
Hours
Full time
Experience level
Manager

"At CommBank we are proud to support flexibility, let's discuss what this means for you"

See yourself in our team

Group Treasury forms part of the wider Financial Services division. Group Treasury is responsible for the Group’s funding and liquidity management, capital forecasting and execution, and asset and liability management. Group Treasury works closely with the business units across a number of areas providing strategic assistance and advice to support the decision-making processes of the Asset & Liability Committee (ALCO), Executive Committee and the Board

Group Treasury Finance provides management accounting and product control support for Group Treasury Front Office operations, including Portfolio Management (Asset & Liability Management, Liquidity Investment Portfolio), Group Funding & Liquidity and Capital & Regulatory Strategy desks. It also provides daily and monthly accounting and performance management and planning for front office desks, the Treasury leadership team and Group Finance.

The Group Treasury Finance team collaborates closely on issues so the interaction and resources between team members is flexible. Your role is to manage the daily reporting process for Portfolio Management desks for the Group Treasury Finance team.

Do work that matters

The role includes, but is not limited, to the following:

  • Project Support: Support as a business user key ongoing transformation and continuous improvement projects.
  • Continuous Process Improvement: Drive a culture of continuous improvement to streamline and optimize existing processes.
  • Change Control: Ensure continuity of delivery from automation solutions through a thorough change control process.
  • Management Reporting Calendar: Manage range of management reporting outputs including:
    • Daily P&L Reporting process for Portfolio Management desk,
    • Month end reporting – Management Pack analysis for Portfolio Management.
  • Daily Performance Analysis: Ongoing oversight on Portfolio Management NII & OBI performance reporting analysis issues, including engagement with counterparties in Product Control & Transfer Pricing teams.
  • Financial & Balance Sheet Controls: Coordinate a regular review of key Treasury balance sheet positions for Portfolio Management. Support periodic review of financial reporting controls and reconciliations in line with group policy. Implement all audit recommendations as per agreed deadlines.
  • Statutory Reporting: Support role in Treasury’s half year and year end statutory reporting processes.
  • Demonstrable ability in managing and balancing priorities. Ability to manage multiple concurrent engagements effectively.

We’re interested in hearing from people who have

  • Tertiary qualification in Accounting / Finance / Commerce / Economics
  • Accounting qualification – CPA or CA
  • Proven communicator with stakeholders, who can demonstrate capacity to work to tight deadlines.
  • Working knowledge of financial products (such as Fixed Income, FX & IR Derivatives, Debt Issuances, etc.)
  • Must be familiar working with data (e.g. experience working with SQL, Python or R)
  • Experience with Tableau and/or Ability to price simple financial products will be looked upon favorably.
  • Risk Mindset – All CommBank employees are expected to proactively identify and understand, openly discuss and act on current and future risks.

If you're already part of the Commonwealth Bank Group (including Bankwest), you'll need to apply through Sidekick to submit a valid application. We’re keen to support you with the next step in your career.

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Advertising End Date: 16/05/2022

For further information, and to apply, please visit our website via the “Apply” button below.

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