Remote Treasury Analyst

Placements24

Paarl

Hybrid

ZAR 650,000 - 850,000

Full time

2 days ago
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Benefits offered by this job

Remote work
Competitive salary
Health benefits
Professional development

Job summary

Placements24 is seeking a meticulous Remote Treasury Analyst to join our finance team. You will manage daily cash operations, forecast liquidity, and assist in debt financing and investments from a remote location, contributing to liquidity management and risk oversight.

The role requires strong Excel skills, TMS proficiency, and a solid understanding of financial markets. You will collaborate with a remote team while supporting corporate finance objectives and regulatory compliance.

Qualifications

  • 2+ years in treasury operations, cash management, or corporate finance.
  • Strong understanding of financial markets and investment instruments.
  • Proficiency in Excel, financial modeling, and treasury systems.

Responsibilities

  • Manage daily cash operations and reconcile accounts.
  • Develop cash flow forecasts, both short and long term.
  • Support banking relationships and optimize services.
  • Assist in debt financing and investment activities.
  • Monitor FX exposures and interest rate risks; suggest hedges.
  • Ensure compliance with internal policies and external regulations.

Skills

Cash flow forecasting
Financial analysis
Risk management
Remote collaboration
Excel proficiency

Education

Bachelor's degree in Finance/Accounting/Economics

Tools

Excel
TMS
Financial modeling software

Job description

About the Role

Our client is seeking a meticulous and proactive Remote Treasury Analyst to join their finance operations. This role is essential for managing the company's liquidity, cash flow, and financial risk exposures from a remote location. You will be responsible for daily cash management, forecasting, debt management, and investment activities, ensuring the financial health and stability of the organization. This is an excellent opportunity for an analytical professional to contribute to critical financial functions within the Banking & Finance sector, providing vital support to business operations across all locations.

Key Responsibilities
  • Manage daily cash operations, including monitoring cash positions, executing transactions, and reconciling accounts.
  • Develop accurate short-term and long-term cash flow forecasts to ensure adequate liquidity.
  • Assist in managing the company's banking relationships and optimizing banking services.
  • Support the analysis and execution of debt financing and investment activities.
  • Monitor and report on foreign exchange exposures and interest rate risks, recommending hedging strategies.
  • Ensure compliance with internal policies and external regulations related to treasury operations.
Requirements
  • Bachelor's degree in Finance, Accounting, Economics, or a related quantitative field.
  • Proven experience (2+ years) in treasury operations, cash management, or corporate finance.
  • Strong understanding of financial markets, investment instruments, and risk management principles.
  • Proficiency in Microsoft Excel, financial modeling, and treasury management systems (TMS).
  • Excellent analytical, problem-solving, and organizational skills.
  • Strong communication skills and the ability to work effectively in a remote team environment.
Benefits
  • Competitive salary and potential for performance-based bonuses.
  • Comprehensive health and wellness benefits.
  • Significant flexibility associated with a fully remote work arrangement.
  • Opportunities for professional growth and development in treasury and corporate finance.
  • Access to advanced financial tools and resources to support your role.
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