Manager Treasury and Financial Analysis

2 days ago


Newcastle, Australia Hunter Water Full time

Fantastic Career Development opportunity
- Grow in the role
- We’re big on living our values - they guide our actions every day.

We are seeking a Manager Financial Analysis to join our Corporate Finance Team within our Finance & Business Performance Division

**Our Company**

At Hunter Water our Values define who we are as an organisation and how we behave. We strive to live these Values and it is shown in the work we do and the way in which we interact with each other.

We fundamentally believe in and commit to diversity and inclusion. We value an individual's unique capabilities, backgrounds, experiences and characteristics. We rely on these diverse perspectives to drive innovation and collaboration, to deliver the best outcome for our customers and communities.

We have embarked on a new strategic direction to build a more innovative, collaborative and resilient organisation that is a thought leader in developing a sustainable water and wastewater future.

At Hunter Water we offer a range of employee benefits. For this position, these will include, but are not limited to:
Excellent flexible working and additional leave benefits including:

- Additional Public Holidays,
- 5 days additional paid Carers Leave per annum
- Paid Community Service Leave
- 14 weeks paid Parental Leave for both parents
- Access to hybrid work and other flexible options

Health & Wellbeing benefits including:

- Fitness passport
- Access to discounted health fund and health services
- Access to the Employee Assistance program

Remuneration & Hours:

- 38 hour working week**:

- Reward and Recognition Program
- Salary Package will be negotiated

**The Opportunity**

As the Manager Treasury and Financial Analysis you will play a key leadership role and be responsible for delivering strategic financial modelling, long-term forecasting, treasury analysis to support the organisation’s financial sustainability and corporate planning.

This role supports Executive and Board-level strategic decision-making, by providing insights that guide business planning and financial risk mitigation, while ensuring compliance with regulatory and reporting requirements.

With a strong focus on financial integrity, the Manager Treasury and Financial Analysis plays a critical part in balancing internal performance goals with the expectations of external stakeholders, including NSW Treasury and IPART, and safeguarding the Corporation’s financial health to support continued service delivery to the community.

**What you'll do**:
This is a broad and exciting role and includes the following functions;
- Corporate Financial Planning
- Financial Modelling
- External Financial Reporting
- Treasury Management
- Credit Rating Management
- Regulatory Revenue Modelling
- Asset Valuation Modelling
- Process Improvement
- Stakeholder Engagement
- Team Leadership and Development

**What you'll need to be successful**:
**Essential Criteria**:

- Tertiary qualifications in Accounting, Commerce, Business or a related discipline, with CPA or CA designation
- Demonstrated experience in financial modelling and long-term forecasting, with the ability to manage and enhance complex financial models and provide strategic financial insights.
- Strong commercial acumen, with high-level analytical, conceptual and problem-solving skills, to support business decision making.
- Strong communication and stakeholder engagement skills, including the ability to translate complex financial information for diverse audiences and work collaboratively across teams.
- Substantial understanding of Australian Accounting Standards, the Corporation’s Act and other regulatory standards (e.g. NSW Treasury Policies and Guidelines).

**Desirable Criteria**:

- Experience working in a State-Owned Corporation or similar Government organisation.
- Experience working in regulated utility or regulated business environment, with ability to manage regulatory financial reporting and submissions.
- Experience in treasury management, including debt, cash flow, and asset/liability analysis
- Experience of working in project-based businesses with large capital infrastructure

**Application Steps**:
To be considered for this position applicants must submit a cover letter addressing the Selection Criteria above and provide a current resume.

Please click to view the click here

**Application closing date: COB Tuesday**9 September 2025**

**Contact**: Donna Stephen **Phone**: 0427 824 395



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