passion for precision? Are you ready to take your accounting career to the next level? Look no further! Our
financial services company is seeking a talented Treasury Accountant to join our dynamic team.
Key
Key Responsibilities:
Qu
Senior Asset Manager
Market-related Salary
Cape
Town is seeking a Senior Asset Manager with expertise in the commercial management of utility-scale solar
our expanding asset management team. This role involves overseeing a portfolio of assets, currently comprising
35MW with
16 assets across the country. The responsibilities encompass managing all commercial aspects
aspects of these assets from Financial Close through Construction and Operations with specific emphasis
African renewable energy space is looking for an Asset Manager to join their operations in Cape Town Minimum experience in a South African infrastructure asset management environment. The ability to use own initiative Strong Project Management skills Reporting experience to various Boards of Infrastructure Asset Companies with complex contractual entities. Evidence of managing stakeholder relationships at this level required Eskom, commercial banks) preferred. Experience in managing businesses with social investment programmes whereby
What you'll do: As a Treasury Analyst you will provide support to the Treasury team by performing various preparing liquidity reports, managing cash for certain funds, maintaining bank accounts, onboarding new entities entities and accounts, establishing connectivity for new accounts, onboarding and maintaining credit facilities for performing and private credit funds Cash management of end-of-life Private Credit funds Daily maintenance reconciliations Bank Account maintenance in TMS Onboarding of new entities and accounts in TMS Establish
vacancy for a motivated, professional and organized Asset Tracker to join their team. The position requires
passion for precision? Are you ready to take your accounting career to the next level? Look no further Our seeking a talented Treasury Accountant to join our dynamic team. Key Responsibilities: Manage cash flow by forecasting financial data. Execute daily cash management operations, including reconciliations and fund implementation of treasury policies and procedures. Qualifications: Bachelor's degree in Accounting, Finance, SAIPA articles preferred Proven experience in treasury operations within the financial services industry
What you'll do: As a Treasury Analyst you will provide support to the Treasury team by performing various preparing liquidity reports, managing cash for certain funds, maintaining bank accounts, onboarding new entities entities and accounts, establishing connectivity for new accounts, onboarding and maintaining credit facilities for performing and private credit funds Cash management of end-of-life Private Credit funds Daily maintenance reconciliations Bank Account maintenance in TMS Onboarding of new entities and accounts in TMS Establish
– URGENT NEW CONTRACT VACANCY TREASURY ANALYST (BANKING & TREASURY) 3 MONTHS PROJECT PLATTEKLOOF Project in Cape Town Matric Bachelor's Degree in Accounting, Finance or Business Administration (ESSENTIAL) and/or Treasury Operations environment Must possess previous experience in a Corporate Treasury environment support, cash management functions, transfers EB platforms, financial analysis, Treasury documentation support, cash management functions, transfers EB platforms, financial analysis, Treasury documentation
Controllers to manage the Banking Documents under the supervision of Africa Treasury Manager viz.
talented Treasury Analyst to join their Group Treasury team. Reporting to the Group Treasury Director in Cape Town, you will play a crucial role in managing the group's cash flow, financial risk, and banking Summary: As a Treasury Analyst, you will be responsible for efficiently managing day-to-day treasury operations operations, including global cash management, operational banking, and providing support to Operating Companies Companies. You will work closely with the Group Treasury team to ensure effective cash flow monitoring, minimize