Our client is a leading Melbourne-based renewable energy business driving Australia's transition to a more sustainable future. With a growing portfolio of renewable energy assets across wind, solar, and battery storage, the company develops, owns, and operates critical infrastructure that supports the nation's clean energy objectives. Backed by a strong pipeline of projects and a commitment to innovation, the business is seeking a Treasury Manager to play a key role in supporting its continued growth and capital management strategy.
As Treasury Manager, you will be responsible for overseeing the company's treasury operations, including cash flow forecasting, liquidity management, debt facilities, banking relationships, and financial risk management. Working closely with the Head of Corporate Finance and senior leadership team, you will support funding activities, optimise capital structures, and ensure effective treasury controls across a growing portfolio of renewable energy assets. This is a broad, hands-on role that offers the opportunity to contribute to strategic financing initiatives while supporting the continued growth of a leading renewable energy business.
Ideal Candidate Profile:
Apply now, or reach out to Nick Hill at nhill@eastpartnership.com.au for a confidential discussion.