ANZSCO 221212
Corporate Treasurer
Manages corporate funding, liquidity and financial risk associated with the profitable development and operation of an organisation. May be involved in acquisitions, disposals and joint ventures.
Also known as: Financial Risk Manager
Skills assessment authority
Occupation lists
Not listed
Visas for Corporate Treasurer
Main tasks
- Monitors and manages the organisation's cash flow and prepares forecasts and projections
- Supervises the organisation's share capital by preparing documents and share issues, and handling share transfers
- Collects, analyses and interprets information on the financial standing, cost structures and effectiveness of the organisation
- Devises, re-organises and establishes budgetary cost control and other accounting systems
- Develops and implements financial risk strategies and polices
- Conducts audits and investigations, and prepares financial statements and reports for management, shareholders, and governing and statutory bodies
- Establishes audit objectives, and designs and implements audit methodologies, processes and audit report criteria
- Executes and manages financial transactions, including cash management, funding and investments
Registration & licensing
Registration or licensing may be required.
State nomination
Each state nominates different occupations for the 190 and 491 visas.
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