Palladium is looking for Group Treasury Director – Brisbane

 

Company Overview:

Palladium is a global leader in the design, development and delivery of Positive Impact – the intentional creation of enduring social and economic value. We work with foundations, investors, governments, corporations, communities and civil society to formulate strategies and implement solutions that generate lasting social, environmental and financial benefits. 


For the past 50 years, we have been making Positive Impact possible. With a team of more than 2,500 employees operating in 90 plus countries and a global network of more than 35,000 technical experts, Palladium has improved – and is committed to continuing to improve – economies, societies and most importantly, people’s lives. 


Palladium is a child-safe organisation, and screens applicants for suitability to work with children. We also provide equal employment to all participants and employees without regard to race, color, religion, gender, age, disability, sexual orientation, veteran or marital status. 

About the role:

An autonomous role, reporting to the Chief Financial Officer (CFO), the Group Treasury Director (the Director) will be responsible for treasury strategy, treasury reporting and operations and funding for the Company. In this strategic but also hands-on role, the Director will be instrumental in improving on or developing and implementing treasury dashboards.  The Director will assess currency positions and implement strategies to manage fluctuations generating both foreign currency gains or loss and foreign currency translation reserve movements and manage cashflow and working capital requirements.  In addition to managing external lender and banking relationships, the Director will support the CFO with any treasury-related disclosures in monthly board reporting and the annual accounts. The appointee will provide strategic advice and capacity building to regional Business Leaders.

Your primary responsibilities will include, but are not limited to:

– Foreign Exchange Services and Risk Management

 – Management of the foreign exchange gain or loss and foreign currency translation reserve including hedge accounting

 – Banking and Credit Facility Management

 – Cash Flow Forecasting

 – Intercompany Loan Accounting

 

 

About you:

You are a senior and very experienced treasury accounting professional with a track record gained in financial services, professional services or high-growth, matrix corporate environments, ideally with experience in complex and fast-paced global/multinational businesses who is very experienced in foreign multi-currency. Underpinning your collaborative and outcome-focused approach are your well-developed stakeholder engagement and management skills. Proactive and with an analytical mindset, you have high attention to detail and are a problem solver. You perform best in a fast-paced environment, that requires an adaptable and pragmatic approach.
You are also an excellent people manager who is also effective in mentoring and coaching employees.

 

Apply here