Global Treasury Manager: FX, Liquidity & Funding

Mr Price Group

Durban

On-site

ZAR 1,400,000 - 1,900,000

Full time

14 days+
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Job summary

Mr Price Group in Durban is seeking a Group Treasury Manager to define and execute the treasury strategy, with a strong focus on international operations, cross-border activities, and central cash management. You will lead FX risk management, hedging across currencies, liquidity optimisation, multi‑currency funding, governance, and banking relationships.

A CA(SA) designation with 5–10 years treasury or corporate finance experience is required.

Qualifications

  • Registered CA(SA) with 5–10 years in treasury, corporate finance, or financial management.
  • Experience managing liquidity, funding, risk, and treasury operations in a complex business.
  • Strong understanding of international treasury practices and banking structures.

Responsibilities

  • Lead and oversee FX risk management framework.
  • Develop and implement hedging strategies across currencies.
  • Optimise working capital and cash utilisation.
  • Drive TMS governance and treasury policy enhancements.
  • Provide treasury advice to senior leadership.

Skills

Treasury risk management
Liquidity management
Funding & capital structure
Cross-border treasury
Stakeholder engagement

Education

CA(SA) Registration

Tools

Treasury Management System (TMS)

Job description

Mr Price Group in Durban is seeking a Group Treasury Manager to define and execute the treasury strategy, with a strong focus on international operations, cross-border activities, and central cash management. You will lead FX risk management, hedging across currencies, liquidity optimisation, multi‑currency funding, governance, and banking relationships.

A CA(SA) designation with 5–10 years treasury or corporate finance experience is required.

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