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Manager, Treasury

Exxaro Recruitment

Gauteng

On-site

ZAR 1 200 000 - 1 500 000

Full time

Today
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Job summary

A prominent resource management firm in Centurion is seeking a Treasury Manager to oversee critical treasury operations, manage financial risks, and develop strategic funding plans. The ideal candidate will have over 10 years of treasury experience and a strong grasp of complex financial instruments, ensuring compliance with corporate finance standards. This is a permanent position that offers a chance to contribute to a high-performing company's financial strategies.

Qualifications

  • Minimum of 10 years of relevant financial or treasury experience at an operational level.
  • Member of a recognised Professional Body.
  • Proven proficiency in treasury operations.

Responsibilities

  • Coordinate and oversee the company’s treasury activities.
  • Develop and implement strategic funding plans.
  • Cultivate and maintain strong banking relationships.
  • Monitor loan covenants and ensure compliance with financial standards.
  • Optimize hedging transactions and manage portfolio investments.

Skills

Managing foreign exchange risk
Interest rate risk management
Liquidity risk management
Strong banking relationships
Strategic funding plans
Navigating financial instruments

Education

Bachelor of Commerce (Honours) in Finance Management Sciences
Management Development Programme
Master of Business Administration
Job description

Job Advert SummaryJoin the Exxaro Resources team in Centurion as a Treasury Manager and play a pivotal role in shaping the company's financial future.

In this permanent position, you will oversee crucial treasury operations, managing foreign exchange, interest rate, and liquidity risk exposures while fostering strong banking relationships.

Your strategic leadership will drive innovative funding plans, ensuring alignment with corporate finance standards and contributing to excellence, innovation, and teamwork.

This role is perfect for those with a knack for navigating complex financial instruments and a strategic mindset, as you will focus on optimising hedging transactions, managing portfolio investments, and upholding financial integrity.

Become an integral part of a forward-thinking company committed to high performance and success.Minimum RequirementsBachelor of Commerce (Honours) in Finance Management Sciences or a related field (Essential / Minimum).

Management Development Programme (Essential / Minimum).

Master of Business Administration (Recommended / Desirable).

A minimum of 10 years of relevant financial or treasury experience at an operational level.Member of a recognised Professional Body (Recommended / Desirable).

Proven proficiency in managing foreign exchange, interest rate, and liquidity risk exposures.Strong ability to cultivate and maintain banking relationships and develop strategic funding plans.Experience in compliance with corporate finance standards and monitoring loan covenants.Exceptional capability in navigating and interpreting sophisticated financial instruments.Psychometric Assessment (Essential / Minimum)Certificate of Fitness (Essential / Minimum)Duties & ResponsibilitiesCoordinate and oversee the company's treasury activities, including management of foreign exchange, interest rate, and liquidity risk exposures.Develop and implement strategic funding plans in alignment with corporate finance standards and best practices.Cultivate and maintain strong banking relationships, including negotiating and managing facilities with financial institutions.Monitor loan covenants, ensure compliance with corporate finance standards, and adhere to South African Reserve Bank reporting requirements.Optimize hedging transactions and manage portfolio investments to ensure financial integrity and risk mitigation.Lead the evaluation and implementation of new banking products, fostering innovation in treasury operations.Manage internal and external stakeholder relationships, including liaison with rating agencies and bond market investors.Guide the development of treasury guidelines for group's operations, ensuring alignment with government legislation and charters.Supervise treasury reporting and ensure accurate and timely reporting of financial positions and exposures.Enhance the team's performance through continuous learning, development, and promoting a culture of high performance and ethical stewardship.

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