Job Description
To report on financial performance of Group Treasury
Act as a key point of contact between Group Treasury, Finance, Risk, and other business units
Engage with internal stakeholders to understand funding, liquidity, and forecasting requirements
Contribute to treasury-related projects, system enhancements, and process improvement initiatives
Review finance deliverables, provide constructive feedback, and support ongoing skills development
Foster a culture of accountability, professionalism, and continuous improvement
Demonstrate a strong understanding of treasury operations, liquidity management, and financial forecasting
Apply solid financial analysis and reporting skills with a high level of attention to detail
Maintain knowledge of financial controls, governance, and regulatory frameworks relevant to treasury
Strong stakeholder management and communication skills
High levels of accountability, professionalism, and sound judgement
Ability to identify risks early and propose practical, wellÃÂâÃÂÃÂÃÂÃÂreasoned solutions
Registered CA(SA)