Manage cash flow, liquidity, and banking relationships.
Develop strategies for funding and capital management.
Assess and mitigate financial risks, including currency and interest rate risks.
Ensure compliance with financial regulations and policies.
Requirements:
CA(SA) qualification.
5+ years of experience in treasury management.
Strong understanding of financial instruments and risk management.
Proficiency in cash flow forecasting and treasury software.
If you are interested in this opportunity, please apply directly.For more finance jobs, please visit If you have not had any response in two weeks, please consider the vacancy application unsuccessful. Your profile will be kept on our database for any other suitable roles / positions.For more information contact: Brittney Gie Recruitment Consultant
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