Treasury & Cash Flow Specialist

Tharisa

Gauteng

On-site

ZAR 240,000 - 420,000

Full time

13 days ago
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Job summary

Tharisa in Gauteng is seeking a Finance Cash Accountant to manage daily cash transactions, reconcile bank accounts, maintain cashbooks, and assist with liquidity tracking for mine operations and Tharisa Head Office.

The role will process electronic funds transfers, support month-end closures, and prepare audit documentation to ensure financial accuracy and compliance across local and foreign currency accounts.

Qualifications

  • Experience in daily cash management and bank reconciliation processes.
  • Ability to maintain accurate cashbooks for multiple currencies.

Responsibilities

  • Prepare daily bank reconciliations and clear outstanding items across accounts.
  • Capture bank transactions, fees, and debit orders for local and foreign currency accounts.
  • Set up electronic payment batches and ensure proper authorization before release.
  • Assist in tracking daily cash positions and updating liquidity forecasts.
  • Organize financial records, support month-end closures, and supply audit documentation.

Skills

Bank reconciliations
Cashbook maintenance
Payment processing
Cash flow forecasting
Audit support

Tools

ERP/Accounting system

Job description

Tharisa in Gauteng is seeking a Finance Cash Accountant to manage daily cash transactions, reconcile bank accounts, maintain cashbooks, and assist with liquidity tracking for mine operations and Tharisa Head Office.

The role will process electronic funds transfers, support month-end closures, and prepare audit documentation to ensure financial accuracy and compliance across local and foreign currency accounts.

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