Senior Manager - Treasury

Date:  9 Sept 2026
Location: 

Sydney, NSW, AU

Department:  Audit and Assurance
Description: 

Job Requisition ID: 41949 

  • Shape model risk management, capital markets and risk transformation work for banks, government and major corporates across Australia.
  • Belong to a workplace that values diversity, equity and inclusion
  • Build relationships with in-person connection across our teams and clients, with flexibility to balance work and life
  • This is an opportunity in Deloitte's Treasury and Risk team, open across multiple locations in Australia with a hybrid work model, and we're open to supporting relocation to Australia for the right person.

What will your typical day look like?

As a Senior Manager within our Treasury team, you will:

  • Lead treasury operate and managed service engagements, providing governance, oversight and delivery leadership across multiple client accounts.
  • Oversee end-to-end treasury operations including settlements, confirmations, reconciliations, cash positioning, debt, investments, derivatives and treasury controls.
  • Manage cash and liquidity processes, including forecasting, liquidity monitoring, variance analysis and executive reporting.
  • Provide guidance across treasury risk management activities, including foreign exchange, commodity, interest rate and liquidity risk management.
  • Lead the preparation and presentation of operational, management and board reporting on treasury performance, risk and strategic insights.
  • Identify opportunities to improve treasury functions through automation, treasury technology, data analytics, workflow optimisation and AI-enabled solutions.
  • Assess treasury processes and control environments, identifying opportunities to strengthen governance, efficiency and operational resilience.
  • Build trusted relationships with senior stakeholders across treasury, finance, accounting, risk and technology functions.
  • Support business development, proposal development and solution design activities for new and existing clients.
  • Coach and develop high-performing teams while fostering a collaborative, inclusive and quality-focused culture.

About the team

Our Treasury team helps organisations transform their treasury and risk management capabilities through advisory, technology, operate and managed service solutions. We work across treasury strategy, operating model design, cash and liquidity management, risk management, treasury technology, process improvement and treasury outsourcing.

Our professionals bring together deep industry expertise, innovative thinking and leading technology capabilities to help clients tackle their most complex treasury challenges.

Enough about us, let's talk about you

You are an experienced treasury professional with strong consulting and leadership capabilities and a passion for helping clients solve complex challenges.

You bring:

  • Extensive experience in treasury, treasury operations, managed services, consulting, banking or corporate finance environments.
  • Demonstrated experience leading client-facing engagements and managing teams.
  • Deep understanding of cash management, liquidity management, cash flow forecasting, settlements, confirmations, reconciliations and treasury reporting.
  • Practical experience across FX, commodity, interest rate and liquidity risk management processes.
  • Experience with treasury transformation, operating models, outsourcing or managed service environments.
  • Knowledge of treasury management systems (TMS), ERP platforms, banking platforms, reporting solutions and automation tools.
  • Strong communication and stakeholder management skills with the ability to influence senior executives.
  • Commercial acumen, problem-solving capability and experience translating technical treasury concepts into practical business solutions.
  • A Bachelor's degree in Finance, Commerce, Accounting, Economics, Information Systems or a related discipline.

Preferred qualifications:

  • CA, CPA, CFA, ACT, FINSIA or equivalent treasury, finance or accounting qualification.
  • Experience delivering treasury technology or treasury operating model transformation programs.
  • Exposure to data analytics, automation and AI-enabled process improvement initiatives.

 

 

Why Deloitte?

At Deloitte, we focus our energy on interesting and impactful work. We're always learning, innovating and setting the standard; making a positive difference to our clients and our society. We put coaching at the heart of what we do, helping our people grow their careers in any direction - whether it be up, moving into something new, or even moving across the world.

We embrace diversity, equity and inclusion. We have a diverse collection of people from different backgrounds, with different experiences, gender identities, abilities and thinking styles. What binds us together is a shared commitment to value everyone's perspective and to cultivate inclusion; so that our work environment is a safe space we can all belong.

We value in-person connection with our clients and our colleagues. We offer several ways for you to work flexibly so that you can serve your clients, stay connected with your team, and manage your personal priorities.

We help you live and work well. To support your personal and professional life, we offer a range of perks and benefits, including retail discounts, wellbeing leave, paid volunteering days, twelve flexible working options, market-leading parental leave and return to work support package.

 

Next Steps

Sound like the sort of role for you? Apply now, we'd love to hear from you!

 

#LI-Hybrid

 

 

 

 

By applying for this job, you’ll be assessed against the Deloitte Talent Standards. We’ve designed these standards so that you can grow in your career, and we can provide our clients with a consistent and exceptional Deloitte employee experience globally. The preferred candidate will be subject to background screening by Deloitte or by their external third-party provider.