We’re buying reliable Treasurer to manage organization’s financial aspects from cash management to corporate finance. Senior management will also depend on you to report and analyse relevant information.

We expect candidates who are experienced in financial management and swear by regulations. You also need to be well-informed of financial planning processes and have a strong power to report and explain issues to management. If you get excited as it pertains to risk management and investments, we’d like to meet up you.

The goal will be to protect the business’s finances to guarantee the long term success of business.

Job Responsibilities:

  • Perform risk management (liquidity, interest rates, ventures etc.)
  • Assume responsibility for cash management procedures
  • Manage the business’s investment activity and make decisions
  • Assist in the development of financing strategies
  • Maintain relations with banks and rating agencies
  • Provide advice in matters of corporate finance
  • Prepare budgets and monitor expenditures
  • Implement relevant legislation and policies
  • Submit reports of present financial situation and forecasting

Candidate Requirements:

  • Proven experience as treasurer or in a relevant financial role
  • Thorough familiarity with financial legislation, regulation and practices
  • Understanding of monetary market, investment management and financing techniques
  • Working familiarity with MS Office and financial management software (SAP, Oracle etc.)
  • Good with numbers and figures
  • Excellent communication and interpersonal skills
  • Well-organized and reliable
  • Excellent leadership and decision-making abilities
  • BSc/MSc in finance, accounting or relevant field

Work Trial:

Mode: ( Video / Voice / In-Person)
Work trial period varies based on individual applications.
Further information will be provided once your application is assessed.

Company Details


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1000+ Employees
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