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Finance Manager : Cash & Amp; Treasury (Central Office Hatfield)

Agricultural Research Council

Pretoria

On-site

ZAR 800,000 - 1,000,000

Full time

Today
Be an early applicant

Job summary

A national research organization in Pretoria is seeking a Finance Manager to oversee cash and treasury functions. Key responsibilities include managing cash balances, ensuring liquidity, and maintaining banking relationships. The ideal candidate will have a relevant degree and 5 years of experience in cash management. Advanced Excel skills and strong communication abilities are essential. This position offers a chance to contribute to financial sustainability and implement best practices.

Qualifications

  • 5 years’ relevant experience in Cash and Treasury.
  • Proficiency in Advanced Excel skills.
  • Strong written and verbal communication skills.

Responsibilities

  • Monitor and manage daily cash balances.
  • Ensure liquidity for operational and strategic needs.
  • Manage relationships with banking partners.

Skills

Cash management
Financial analysis
Communication

Education

Relevant Bachelor’s Degree in Accounting / Finance / Economics

Tools

MS Office
Job description

Job title : Finance Manager : Cash & Treasury (Central Office Hatfield)

Job Location : Gauteng, Pretoria

Deadline : September 29, 2025

Description
  • Monitor and manage daily cash balances and forecast short-term and long-term cash requirements.
  • Ensure sufficient liquidity to meet operational and strategic needs, including managing working capital.
  • Oversee cash pooling, inter-company funding (petty cash and bank charges) arrangements, and internal transfers.
  • Manage and maintain relationships with banking partners, including negotiation of terms, fees, and credit facilities.
  • Administer treasury systems and ensure accurate and timely reporting of cash positions and treasury transactions.
  • Evaluate and manage investment of surplus funds in accordance with approved policies.
  • Develop and implement cash and treasury policies, procedures, and internal controls to safeguard assets.
  • Prepare cash flow analysis for senior management.
  • Provide insights into treasury performance, cost saving opportunities, and financial risk exposure.
  • Support internal and external audits, ensuring compliance with regulatory and statutory requirements.
  • Collaborate with finance, legal, and operations teams to support business initiatives and strategic planning
  • Contribute to working capital optimisation and financial sustainability initiatives.
  • Implement treasury best practices and continuous process improvements.
  • Enforce financial & Internal Controls.
  • Risk and investment management.
  • Staff management.
  • Review General ledger and bank account and petty cash reconciliations.
  • Cash and short-term investment management.
  • Recording, allocating and reconciling all bank and cash transactions, including EFTs and foreign exchange, receipts, payments, and petty cash.
  • Follow-up of unknown deposits with the bank.
  • Submit vat returns to SARS and manage vat payments.
Requirements
  • Relevant Bachelor’s Degree in Accounting / Finance / Economics or equivalent.
  • 5 years’ relevant experience in Cash and Treasury.
  • Proficiency in the MS Office suite (Advanced Excel skills).
  • Good communication skills, written and verbal.

CLOSING DATE FOR APPLICATIONS : 29 SEPTEMBER 2025

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