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Treasury Accountant

Durban University Of Technology

Durban

On-site

ZAR 400 000 - 600 000

Full time

12 days ago

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Job summary

A prominent educational institution in Durban is seeking a Treasury Accountant to manage treasury operations, including cash flow forecasting and compliance with financial regulations. The ideal candidate will have a B Degree in Finance, 3-5 years' experience in related fields, and proficiency in relevant financial systems. This role offers a dynamic working environment and opportunities for professional growth.

Qualifications

  • 3–5 years’ experience in bank reconciliations, foreign payments, and audit preparation.
  • Registration with a recognized accounting body (e.g., SAIPA) is advantageous.

Responsibilities

  • Perform monthly bank reconciliations and ensure account clearing.
  • Prepare cash flow forecasts daily, weekly, monthly, and quarterly.
  • Liaise with banks to ensure compliance on foreign transactions.

Skills

Sound knowledge of IFRS
Understanding of SARB requirements
Proficiency in SAP S / 4HANA
Advanced proficiency in MS Excel
Strong analytical skills

Education

B Degree in Finance, Commerce, or equivalent
Honours Degree (NQF Level 8)

Tools

MS Office Suite
Job description

Job title: Treasury Accountant

Job Location: KwaZulu-Natal, Durban

Deadline: December 21, 2025

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Purpose of the Job
  • To manage the institution’s treasury operations, including cash flow forecasting, foreign payments, bank liaison, and compliance with financial regulations, while supporting financial reporting and audit readiness.
Minimum Requirements
  • B Degree in Finance, Commerce, or an equivalent qualification (NQF Level 7)
  • Ideal : Honours Degree (NQF Level 8)
  • Experience : 3–5 years’ experience in bank reconciliations, foreign payments, cash flow reporting, and audit preparation
Ideal Registration
  • Registration with a recognized and reputable accounting body (e.g., SAIPA) will be an advantage.
Key Competencies
  • Sound knowledge of IFRS and relevant financial legislation and regulations
  • Understanding of South African Reserve Bank (SARB) requirements
  • Proficiency in SAP S / 4HANA or similar financial systems
  • Advanced proficiency in MS Excel and the MS Office Suite
  • Experience in foreign exchange and hedge accounting
  • Strong analytical and reconciliation skills
  • Familiarity with investment tracking and reporting
  • Knowledge of treasury systems and cash management tools
  • Understanding of the Higher Education and external reporting environments
Key Responsibilities
  • Perform accurate and timely monthly bank reconciliations and ensure the clearing of accounts
  • Ensure the accuracy and completeness of bank statements and related entries
  • Prepare daily, weekly, monthly, and quarterly cash flow forecasts
  • Process and verify foreign payment requests in line with regulatory and institutional requirements
  • Liaise with Standard Bank and SARB to ensure compliance on foreign transactions
  • Maintain foreign exchange and hedge accounting registers and records
  • Assist the Treasury Manager in tracking investment performance
  • Maintain and reconcile investment registers and income schedules
  • Prepare treasury-related schedules for reporting, budgeting, and audits
  • Maintain relationships with bank account managers and other financial partners
  • Ensure compliance with treasury policies and procedures
  • Identify and report treasury risks and control weaknesses, and implement corrective actions
  • Provide advisory and operational support to internal departments and finance teams
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