The Group Treasury Manager will support in defining and executing the Groups treasury strategy, aligned with overall financial objectives. The role will serve as the central authority on global cash, liquidity, funding structures, and financial risk management, with a
Its fun to work in a company where people truly BELIEVE in what theyre doing!The Group Treasurer is responsible to play both a strategic and operational role in the management of Financial Assets and Liabilities, Liquidity
Job Title: Finance Manager Key Responsibilities: 1. Financial Reporting Prepare finance inputs for monthly analysis, shareholder, and stakeholder reports. Prepare finance inputs for Board meeting reports. 2. Cash Flow Management Manage cash, ensuring optimal use for the
Primary Purpose The role is responsible for retaining and growing a portfolio of high-value foreign exchange clients by delivering specialist foreign exchange solutions, exceptional client service, and strategic financial guidance. The role focuses on driving non-interest
Support financial reporting, audit, compliance, treasury and stakeholder reporting across global entities, driving operational excellence, governance, and scalable finance processes in a growing investment platform. Finance & Operations Manager CrossBoundary Group About the Firm CrossBoundary Group is a
Role Overview This is a unique opportunity to join EY’s UK Working Capital & Liquidity Centre of Excellence, while being embedded within the South African EY-Parthenon business. You will work day‑to‑day with the UK working capital
How will you CONTRIBUTE and GROW?As the primary Single Point of Contact (SPoC) for local business leadership, this Finance Manager role bridges operational strategy with corporate scale by co-leading financial processes alongside the Chief Accountant and ALEBS
Company Description Wise is a global technology company, building the best way to move and manage the world’s money. Min fees. Max ease. Full speed. People and businesses all over the world use Wise to avoid
When it comes to putting people first, were number 1. The number 1 Top Employer in South Africa. Certified by the Top Employer Institute 2026. Role Purpose/Business Unit: Oversee the Treasury Operations function including centralised cash pooling
Tillo in Cape Town seeks a highly analytical Treasury Manager to own global cash operations, funding structures, and liquidity forecasting in a fintech environment. You will manage cross-border cash positioning, hedging, and banking partnerships while building robust controls
Job Summary As Tillo continues to scale its global footprint, we are seeking a highly analytical, hands‑on Treasury Manager to take immediate ownership of our global cash operations, capital structures, and advanced liquidity forecasting frameworks. Operating within a
Treasury Manager Shape the future of banking as a Treasury Manager, leading cutting-edge projects and setting new standards in liquidity risk, capital management, and treasury best practices. A multinational Consulting firm with a strong international presence is seeking an experienced Treasury Manager to
Treasury Manager Shape the future of banking as a Treasury Manager, leading cutting-edge projects and setting new standards in liquidity risk, capital management, and treasury best practices. A multinational Consulting firm with a strong international presence is seeking an experienced Treasury Manager to
Shape the Future of Banking as a Treasury Manager Reference: NFP -CAM-1 Lead cutting-edge projects and set new standards in liquidity risk, capital management, and treasury best practices. Duties & Responsibilities A multinational consulting firm is seeking an experienced
Reference: NFP -SHb-1 Shape the future of banking as a Treasury Manager, leading cutting-edge projects and setting new standards in liquidity risk, capital management, and treasury best practices. Duties & Responsibilities A multinational Consulting firm, with a strong international
Treasury Manager Finance Role Purpose The Treasury Manager is responsible for leading the organisations treasury operations by ensuring effective cash and liquidity management, funding, banking, and financial risk management. The role oversees daily cash flow, forecasting, borrowing, investments, payment operations, foreign
Group Treasury Manager R1.5m - R1.8m Cape Town Excellent career opportunity with leading listed FMCG Group. Reporting to the Executive Head of Finance you will lead treasury activities across the Group. This role is suited to a strategic and
Treasury Manager Shape the future of banking as a Treasury Manager, leading cutting-edge projects and setting new standards in liquidity risk, capital management, and treasury best practices. A multinational Consulting firm with a strong international presence is seeking an experienced Treasury Manager to
Treasury Manager Shape the future of banking as a Treasury Manager, leading cutting-edge projects and setting new standards in liquidity risk, capital management, and treasury best practices. A multinational Consulting firm with a strong international presence is seeking an experienced Treasury Manager to
Job Purpose The Group Treasury Manager will support in defining and executing the Groups treasury strategy, aligned with overall financial objectives. The role will serve as the central authority on global cash, liquidity, funding structures, and financial risk management,