Sorry, the offer is not available,
but you can perform a new search or explore similar offers:

Omf Financial Consultant (Vrendendal Vootrekker)

OMF Financial Consultant (Vrendendal Vootrekker) page is loaded OMF Financial Consultant (Vrendendal Vootrekker) Apply locations Vredendal time type Full tim...


From Old Mutual Finance (Pty) Ltd - South Africa

Published a month ago

Cash Centre Manager- Durban

Branch Manager - Cash Processing FCS DurbanReporting to the Cash Processing Regional Manager The above position is vacant at Durban, reporting to the Cash Pr...


From Fidelity Services Group - South Africa

Published a month ago

Ah 415496 - Marine Insurance Underwriter R40,000 Per Month (Negotiable)

These jobs were popular with other job seekersRef: AH 415496 - Marine Insurance UnderwriterEmployer DescriptionOffice based in Johannesburg Northern SuburbsD...


From Professional Career Services - Gauteng - South Africa

Published a month ago

Omf Financial Consultant (Nongoma)

OMF Financial Consultant (Nongoma) page is loaded OMF Financial Consultant (Nongoma) Apply locations Nongoma time type Full time posted on Posted Yesterday j...


From Old Mutual Finance (Pty) Ltd - South Africa

Published a month ago

Treasury Manager (Gauteng)

Treasury Manager (Gauteng)
Company:

The Recruitment Council



Job Function:

Finance

Details of the offer

SpecOur Client a Listed JSE Insurance & Investment Firm is on the hunt for a Top Treasury Manager
The main purpose of this role is to manage and oversee the day-to-day activities of the treasury operations team and ensure that all operations run smoothly.
Responsibilities and work outputs Daily cash management: Execution of intra-group transfersEnd of day detailed balance reviewsAggregation of bank account opening balancesAdministration of bank account management platform: Facilitate the opening and closing of bank accounts with business units in accordance with the policies, rules and procedures provided.Lead banking operations including account openings, closures, updates to account information, and banking signatoriesMaintain a bank account database and ensure completeness thereof.Implement and strengthen controls related to bank account database and cash management system.Review of the GL cash breakdown and ensure the bank balances are reconciled;Reconcile opened and closed bank accounts to the payment system to ensure completeness.Manage and maintain a database of online platform users with limits: Assist in maintaining and review of user limits with the various banks.Maintenance of banking relationships: Establish and lead new/existing bank accounts/relationships.Maintain details of group exposure with all banks.Reconciliation of bank balances to general ledger balances and analysis of movementConduct annual reviews of banking facilities with each bank with a view to updating facility agreements to align with company needs and cost-saving objectives;Annual review of cash management structures.Ensure cash management structures are updated for opened and closed bank accounts.Manage the overall cost of the banking infrastructure supporting the company's activities, measured on a per-transaction basis.Handle bank fee expense budget and forecastsMonitor and reconcile banking fees against those recorded in General Ledger.Monitor bank limits breaches and ensures that the clients and Banks are notified of the breaches.Monitor bank fees negotiate as needed and explore opportunities to reduce cost and improve efficiency.In the event of a breach, ensure that the limits are amended at the bank and the client is notified.Maintain updated delegation of authority and provide updates to the banks as required.All bank related documents are electronic / paper-filed.Other general Treasury operations activities: Conducting reconciliations for Treasury specific bank accounts.Coordinate, run and complete implementation projects for new services, technologies, account changes, system or process changes regarding cash management to improve the cash cycle and simplify company operations.Negotiate pricing & implementation fees for new services and prepare cost/benefit analysis.Ongoing provision of Treasury reportingMaintenance and updates to our Treasury operating procedures as necessary.Maintenance of a Financial Controls Framework and Risk Register.Money Market: Handle operation and liquidity of fiduciary and surplus funds investment including money market deposits and funds.Oversee overall money market dealing activities and foreign exchange dealing and collaborate with other departments to ensure that all activities are aligned to practices and framework.Build and manage the relationship with banks to negotiate rates and processing of trades and transactions.Invest funds on the Money Market through analysis of rates, returns and business needs.Prepare and present insights on treasury exposures, activities and possible contribution to the function.Assist with providing ad hoc information for internal reports relating to regulatory reporting, compliance and internal policies and procedures.Foreign Exchange execution: Execution of foreign exchange deals with banks.Transacting on FX system to capture, aggregate and approve FX deals.Collate the Forex requirements across divisions and optimally trade in the external market.Manage and monitor all foreign exchange trading and money market dealing processes and systems to ensure efficiencies across the group.Compliance with all laws, regulations and industry standardsCorrelating data to assist the team in reporting of foreign transactions to the compliance team on a quarterly basis.Execute foreign exchange and money market dealing activities to ensure the best outcome for the group.Optimise Forex usage and minimise risk with foreign currency transactions.Contribute to policy development within the area of expertise and implementation of best practice solutions.Process and keep a record of Forex transactions and information received from divisions and other stakeholders.Capture information on the system to access up to date and accurate information used to trade Forex instruments.Monitor, address and escalate risk that may lead to an operational loss.Competencies required: Strong verbal and written communication skillsHighly analyticalStrong operations capabilitiesSelf- AwarenessEmbracing DiversityResults DrivenTask –; orientatedMinimum RequirementsExperience and Qualifications B.com Accounting or other relevant degrees in Financial Management, Economics, Treasury Management or related field.ACI Dealing Certificate (preferred).5-10 years' experience in Operations, Middle Office or Back Office#J-18808-Ljbffr


Source: Jobleads

Job Function:

Requirements

Treasury Manager (Gauteng)
Company:

The Recruitment Council



Job Function:

Finance

Built at: 2024-04-29T10:04:51.035Z