Job Description
About the team
The Group Treasury team acts as the in-house “banker” to our businesses, supporting them with daily banking and liquidity; management of foreign exchange, interest rate and commodity risk; and working capital efficiency.
In addition, the team is responsible for corporate balance sheet management, particularly in relation to long-term funding, dividend policy, capital management; maintaining strong relationships with the Group’s funding providers and rating agencies; and ensuring financial risk management objectives are met.
The team also supports the Wesfarmers’ Group acquisition and divestment activities.
What you’ll do
Within this role you will work along...