[ Job details ]
Senior Treasury Manager - Project & Asset Finance
Contract Type:
Full Time
Location:
Sydney
Industry:
Accounting
Contact Name:
Kunal Gupta
Contact Email:
kunalg@axr.com.au
Contact Phone:
Date Published:
19-Aug-2026
This isn't a role about raising the debt. It's about everything that happens once the money's drawn.
Overview
We're working with a business at the centre of the digital and energy infrastructure build-out, operating in a sector absorbing very large amounts of capital right now. The financing is constant, and the assets are significant. What the business needs is someone to run the treasury function that sits behind those facilities properly, and to build the processes that will hold as it scales.
It's a hands-on operational treasury role with genuine technical depth, and the person who takes it will end up knowing the underlying business model better than almost anyone.
The role
Why apply
We're working with a business at the centre of the digital and energy infrastructure build-out, operating in a sector absorbing very large amounts of capital right now. The financing is constant, and the assets are significant. What the business needs is someone to run the treasury function that sits behind those facilities properly, and to build the processes that will hold as it scales.
It's a hands-on operational treasury role with genuine technical depth, and the person who takes it will end up knowing the underlying business model better than almost anyone.
The role
- Manage the existing facilities day to day. Key terms, rate sets, interest accruals, fee amortisation, and the monthly compliance cycle including covenant certificates and lender reporting
- Run the cash waterfall. Facility payments, transfers to and from liquidity accounts, controlled account reconciliations and minimum balance requirements
- Own weekly funding and cash forecasting across project-level and corporate requirements, with the FX that goes alongside it
- Manage the hedging operations. Confirmations, settlements, ISDA documentation, valuations and hedge accounting support, working with the GM Treasury on strategy
- Maintain and update the covenant model, and produce the monthly reporting that lenders, equity investors and SPV arrangements require
- Bank guarantees, counterparty credit reporting, KYC and treasury controls
- Lead the treasury management system implementation, automated bank feeds and straight-through processing
- Five or more years across corporate treasury, project finance operations or structured finance
- Project or asset-level financing experience, not just group facilities. This is the requirement that matters most. If you've managed a real facility with real CPs, a real waterfall and real covenant tests, you'll recognise this role immediately
- Comfort with the financial model. You'll be updating covenant models and reconciling them to reporting, so this needs to be a strength rather than something you delegate
- Working knowledge of FX and derivatives, ISDAs, confirmations, settlements and hedge accounting support
- Strong systems capability across ERP, banking platforms and treasury systems, and an interest in automating what's currently manual
- Control discipline and attention to detail. A lot of what you produce goes to lenders, so accuracy is the baseline
Why apply
- A business growing quickly in a sector with global relevance and very few precedents
- Real ownership. You'd be building the treasury function rather than maintaining someone else's
- Founder-led, accessible leadership, and decisions that get made in days rather than quarters





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