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You are passionate, motivated and display a positive attitude
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We are a values-driven and a high performing team
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Together we can deliver an exemplary experience for our stakeholders and the Group
Do work that matters
Financial Services (FS) partner with all areas of CommBank to offer specialist advice, support and services in finance, audit, treasury, property, procurement, climate strategy and investor relations.
See yourself in our team
Group Treasury forms part of the wider Financial Services division and is responsible for the Group’s funding and liquidity management, capital forecasting and execution, and asset and liability management. Group Treasury works closely with the business units across a number of areas providing strategic assistance and advice to support the decision-making processes of the Asset & Liability Committee (ALCO), Executive Committee and the Board.
Group Treasury Finance provides management accounting and product control support for Group Treasury Front Office operations, including Portfolio Management (Asset & Liability Management, Liquidity Investment Portfolio [LIP]), Group Funding & Liquidity and Capital & Regulatory Strategy desks. It also provides daily and monthly accounting and performance management and planning for front office desks, the Treasury leadership team and Group Finance.
The role has a specific focus on ensuring the operational runs of the automation server, contributing to data asset creation in Python and SQL, and contributions to dashboarding development or maintenance via Tableau and PowerBI.
Operational maintenance aspects of the role include:
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Monitoring and Troubleshooting:
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Regularly monitor the automation server and scripts to ensure smooth execution and promptly diagnose and resolve or raise any issues or errors in script execution.
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Integration of team logging libraries for quality controls to ensure the accuracy and integrity of data assets generated by the scripts.
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Use of version control systems and documentation via Confluence to manage changes and track modifications.
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Script Development, Maintenance and Optimization:
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Integrate and prepare data from various sources to ensure it is ready for visualization, including data cleaning, transformation, and aggregation.
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Review, update, and optimize existing scripts to improve performance and ensure they meet business requirements.
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Visualisation and reporting aspects of the role include:
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Dashboard Development and Maintenance:
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Focus on ongoing high-quality reporting to our key stakeholders though automation, simplicity, search for new insights and a responsiveness to changing business drivers.
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Design, develop, and maintain interactive dashboards using Tableau and PowerBI to provide actionable insights and support decision-making.
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Optimize the performance of dashboards and reports to ensure they load quickly and efficiently, providing a seamless user experience.
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Collaboration and Feedback:
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Collaborate with stakeholders to gather requirements and feedback, ensuring visualizations meet their needs and continuously improve based on their input.
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Key Responsibilities
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Monitor and maintain automation scripts on the server, troubleshooting and optimizing performance.
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Design, develop, and maintain interactive dashboards using Tableau and PowerBI.
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Implement data validation checks to ensure accuracy and reliability of data.
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Collaborate with stakeholders to gather requirements, provide support, and incorporate feedback.
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Maintain documentation and use version control systems to manage changes and track modifications.
We’re interested in hearing from people who have:
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Strong attributes in aspects of communication skills, attention to detail, managing multiple deliverables and stakeholder management.
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Strong experience with analytical platforms such as Alteryx, Tableau, PowerBI, Python and SQL.
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Working knowledge of principles of Treasury function and regulatory framework including capital and liquidity functions would be ideal.
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Responsiveness and ability to adapt to key stakeholder requests in a fast-paced environment.
If this sounds like you then apply today!
At CommBank, we advocate and facilitate a culture of inclusion and respect, celebrating all cultures, abilities, genders, expressions of gender and sexual orientation Read more about our commitment to inclusion and diversity.
We believe in working for a place that works for you. We have many flexible working options within our team so talk to us about which arrangements would work best for you.
If you're already part of the Commonwealth Bank Group (including Bankwest), you'll need to apply through Sidekick to submit a valid application. We’re keen to support you with the next step in your career.
We’re committed to being an accessible employer and want to make finding your dream job as easy as possible. If you experience any accessibility issues or if you require additional support please contact HR Direct on 1800 989 696.
If you're already part of the Commonwealth Bank Group (including Bankwest, x15ventures), you'll need to apply through Sidekick to submit a valid application. We’re keen to support you with the next step in your career.
We're aware of some accessibility issues on this site, particularly for screen reader users. We want to make finding your dream job as easy as possible, so if you require additional support please contact HR Direct on 1800 989 696.
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What We Do
Australia’s leading provider of financial services including retail, premium, business and institutional banking, funds management, superannuation, insurance, investment and sharebroking products and services.
We are a business with more than 800,000 shareholders and over 52,000 employees. We offer a full range of financial services to help all Australians build and manage their finances.