Established over 180 years today this brand has a global footprint with the clear focus on over 90 high-growth markets. Their company has evolved significantly in the past decades, and they happily celebrate their cultural and geographic diversity. As a leader in advanced drug delivery technologi
seeking a Senior Manager to oversee and optimize all Treasury and Trading activities in alignment with our clients' Office Treasury guidelines, ALCO, Credit, and Executive Management directives, adhering to Treasury-related proportion and absolute balance value.
partake in all Treasury and Trading related activities, ensuring compliance to Head Office Treasury guidelines Management directives, in accordance with the Treasury related Policy and Procedure manuals. To ensure value utilizing interest rate as a lever. Setting Treasury Department related NGS parameters, such as Delegation 3-Desirable Bcom or equivalent qualification-Desirable Treasury Dealing and or Operations - Corporate Banking
partake in all Treasury and Trading related activities, ensuring compliance to Head Office Treasury guidelines Management directives, in accordance with the Treasury related Policy and Procedure manuals. To ensure value utilizing interest rate as a lever. Setting Treasury Department related NGS parameters, such as Delegation 3-Desirable Bcom or equivalent qualification-Desirable Treasury Dealing and or Operations - Corporate Banking
the work environment? Our client is seeking a Treasury expert to join their global team ESSENTIAL SKILLS and prior experience in financial accounting and Treasury processes, e.g., Bank Statement Processing, Bank
and handling share transfers Controlling treasury and treasury systems and establishing and reviewing risk risk management objectives and treasury policies Identifying, managing and reporting on financial risks
experience essential Knowledge of IFRS, PFMA and treasury Regulations essential Kindly forward your profile
IFRS reporting, international consolidations, and treasury management. As the bridge between the Managing You'll collaborate closely with banks, manage treasury functions, and steer the financial direction of
consulting services in the Risk management and Treasury areas. Responsibilities: Undertake high level years' experience in Market Risk, Credit Risk, treasury or associated areas Special Skills: Very strong Investment Banking Retail or Treasury Credit Risk Market Risk Liquidity Risk Treasury Financial Consulting Firm
compliant annual financial statements to National Treasury, Auditor-General, DSAC and other stakeholders is aligned to Treasury MTEF processes; and Ensure compliance with PFMA, National Treasury regulations and client); and Experience in dealing with National Treasury, Office of the Auditor General, relevant Government