Main job function
To oversee and manage the foreign exchange operations and financial dealings with other institutions on an international level. This role involves strategizing and executing plans to optimize foreign currency trading, manag
investors, rating agents, and other parties Assist in treasury activities and market risk management Requirements:
well-established client seeks to appoint a Group Treasury Manager who has a minimum of a BCom Degree and reporting on daily operations related to the Group's treasury function, including ensuring compliance with and
Main job function CORE PURPOSE OF THE JOB To oversee and manage the foreign exchange operations and financial dealings with other institutions on an international level. This role involves strategizing and executing plans to optimize foreign currency trading, managing risks associated with foreign e
Reporting. Strong International consolidations and treasury/banking exposure. Proficient in MS Office with Responsibilities: Take charge of Group Reporting and Treasury: Lead and guide the Head Office finance department; implications for share options and share buybacks (treasury shares); Deal with ad hoc requests from CFO for for analysis relating to Reporting or Treasury; Review and update banking facility letters and ensure
this varied role. You will be responsible for the Treasury, Finance, Procurement, IT, Risk and Admin functions financial statements and compliance adherence. Treasury: Administrator for the bank accounts. Manage and Authorise weekly/monthly payments. All other Treasury related matters. Admin: Manage the administrative
contract to assist with the Group Reporting and Treasury function. Minimum Job Requirements: C.A. (S.A results. The Job: Provide support to the Group Treasury function Review supporting documents and release
statements and compliance adherence.Treasury:
processing & recons Maintain FAR Bank/Petty Cash/Treasury reconciliations Bank Payments VAT returns 5 -