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Senior Manager, Liquidity Reporting - 2 Year Max Term Contract


Senior Manager, Liquidity Reporting - 2-Year Max Term Contract

Join our Group Treasury team as a highly motivated Senior Manager to work in the area of Risk, Reporting, Analytics & Platform (RRAP) with a focus on liquidity reporting.

Working in a high calibre team, you will be exposed to the inner workings of an internationally active financial conglomerate group. You will lead a small team with your focus on supporting the BAU team with the overall target to ensure accurate, complete and timely reporting, drive automation and efficiency. You will also contribute to or lead projects within the liquidity area that will shape the outcome of Macquarie's activities, giving you exposure to Macquarie's Senior Management, in a non-hierarchical, merit-based environment.

Working closely with management at all levels, you will play a crucial role in ensuring we are able to meet all of our obligations related to liquidity reporting, as well as ongoing compliance with all relevant internal policies and external regulations. The team reports to the Chief Financial Officer and provides advice and insights to support strategic decisions regarding the Group’s funding and liquidity position.

You will develop and maintain a deep understanding of regulatory and internal liquidity requirements and use this to develop and communicate methodologies and insights to assist senior management’s decisions in relation to liquidity reporting.  Key to your success will be your will be crucial along with the ability to prioritise across multiple workstreams and deliverables. 

This role will suit you if you are analytical, commercially minded and enjoy problem solving combined with a focus on controls. We ask that you have a track record of success in the workplace, combined with an outstanding 

academic background in a finance or quantitative degree (actuarial, accounting, commerce, economics, engineering, mathematics or similar) and strong written and verbal communication skills alongside the ability to interpret and explain complex data.

Experience of liquidity risk management and or regulatory liquidity requirements in a large, complex financial institution would be very advantageous.  Alternatively, other Treasury, market risk or similar experience would also be considered favourably. 

About the Financial Management Group

The Financial Management Group provides financial, tax and treasury services to all areas of Macquarie. The group is focused on providing strategic analysis and advice to Macquarie's businesses and senior management, managing Macquarie's funding, liquidity and capital position, ensuring Macquarie continues to meet regulatory and compliance obligations and managing Macquarie's corporate affairs.

Our commitment to Diversity and Inclusion

Macquarie understands the importance of diversity and inclusion - our long history of success has come from being different. At Macquarie we value the innovation and creativity that diversity of thought brings. The one thing we all have in common is our focus on high performance. If you're capable, motivated and can deliver, we want you on our team. 

We recognise that flexibility comes in a variety of forms. Talk to us about what flexibility you need.

About Macquarie

The best investment you can make is in yourself.

Whether you’re looking to take on a new project; progress within your division; explore an opportunity in a different team; or relocate globally – we let our people decide which direction they want to take.

At Macquarie we uncover the opportunities others may miss. Our culture promotes innovation, balanced with robust risk management, to realise opportunity for our clients, community, shareholders and our people.

Macquarie is a diversified global financial group providing clients with asset management, banking, advisory and risk and capital solutions across debt, equity and commodities. Headquartered in Sydney and with offices in 31 markets, it is the breadth of our operations, combined with a strong capital position and risk management framework, that has contributed to our 51-year record of unbroken profitability.

Find out more at

Job no: FMG-949925
Work type: Maximum term
Location: Sydney
Category: Mid-level, Accounting & Finance
Group: Financial Management Group
Division: Group Treasury
Recruiter: Adina Bambur
Opening Date: