The Opportunity
Now is an exciting time to join Stockland as we accelerate the execution of our Strategy.
Reporting into the Senior Treasury Manager, the Senior Treasury Analyst role will be responsible for assisting with implementing funding and financial risk management strategies as well as providing high quality, accurate financial analysis and reporting, supporting management of the Stockland’s treasury activities. The role will also collaborate closely across a range of internal and external stakeholders.
Key responsibilities include and not limited to:
1. Support the Senior Treasury Manager to formulate and implement funding and financial risk management strategies across the Stockland Group, in accordance with relevant policies
2. In conjunction with the Senior Treasury Manager, source, negotiate and execute all financing documentation ensuring consistency with existing arrangements (where relevant) and reflecting the commercial intention of Stockland and/or the relevant partnership
3. Prepare and interpret treasury related analysis, allowing identification of key insights and recommendations for stakeholders to make informed decisions
4. Co-ordinate delivery of all internal and external treasury related reporting, ensuring alignment across the platform (where possible)
5. Actively manage relationships with external stakeholders (banks, debt investors, derivative counterparties and rating agencies, as applicable), to support delivery of Stockland’s strategy and/or that of each Stockland managed partnership
6. Proactively initiate and drive continuous improvement across business processes and controls, management systems, and reporting tools to ensure better practice and efficient processes
7. Undertake additional responsibilities and tasks, including supporting M&A/capital transactions as required.
About You
We are looking for an experienced Analyst who has the ability to adapt in a changing and agile environment. You will have demonstrated ability to take accountability and ownership of multiple tasks. You will be a proactive and outcome focussed individual with the ability to collaborate and influence with a diverse group of peers and stakeholders.
To be successful in this role you will have the following skills, qualifications and experience:
8. Experience in analytical focussed roles in treasury and/or financial markets
9. Commercially oriented, insightful and illustrates curiosity
10. Proven experience in engaging with a range of stakeholders in a business of similar scale & complexity, including exposure to complex transactions and joint venture structures
11. Experience with business partnering through providing insightful analysis & recommendations
12. Experience with using SAP and/or Reval is desirable
13. Relevant tertiary qualification is required, such as in Accounting, Finance, Business or Economics etc
14. CA/CPA/CFA or equivalent post graduate qualification is preferred
The Stockland Proposition
At Stockland we are a community delivering outcomes that benefit the community at large. We work collaboratively and inclusively, building strong working relationships. Our portfolio is diverse and so are the opportunities for professional and career development. We are committed to providing our people with broad experiences to build a successful career.
We recognise the importance of flexibility and work life-quality and over 80% of our employees have informal or formal flexible work arrangements. Additionally, Stockland has a strong commitment to achieving the best outcomes through an inclusive and collaborative culture. Our customers come from diverse backgrounds and we want our teams to reflect this.
We offer competitive remuneration and benefits. Benefits include free access or subsidised lifestyle, health, well-being and financial services products
Due to the permanent nature of this role, we can only accept applications from Australian Citizens, Permanent Residents or Open Work Visa holders with more than 12 months validity from their role start date.