Posted on: 21 May 2024
ID 915044

Treasury Analyst

Main Purpose:

To perform designated responsibilities on a day-to-day basis as laid down in this document and supporting operations besides assisting in other initiatives

Knowledge Skills and Abilities, Key Responsibilities:

Key Responsibilities

Cash flow Forecasting & Liquidity Management :
  • Oversee daily cash management activities for the country.
  • Ensuring optimal liquidity levels and efficient cash utilization for South Africa, Lesotho and Eswatini.
  • Preparation of Cash Flow statements (daily & monthly) including forecasts with close interactions with Commercial team.
  • Understanding the banking requirements of the all entities in scope & coordination with banks daily.
  • Support on liquidity analysis & working capital management.
  • Review weekly sales forecasts of respective countries & initiate remedial measures as required.
Financing :
  • Evaluate financing options and structures to support business growth and capital requirements.
  • Manage debt facilities, including syndicated loans, and other financing instruments, to ensure cost-effective funding.
  • Coordinate with internal and external stakeholders to execute financing transactions and maintain compliance with debt covenants.
FX Risk Management :
  • Ensure all FX exposures are highlighted and propose hedge strategies/ hedges
  • Execute FX deals with the banks and ensure all FX deals booked are booked in IT2
  • Document explanation of all monthly FX PL including actual economic FX PL calculation
  • Review and analyse weekly FX report
  • Support Pumas FX transactions with the banks and capture trades undertaken by Treasury in the risk management system
  • Coordinate with the respective country analysts on the current FX exposure and facilitate communication between treasury and our partner banks
  • Daily control and monitoring of complete deal set including active hedge positions and risks within the business.
  • Maintains constant communication with Treasury in resolving settlement issues and provide general trade support as necessary.
  • Brief Treasury on key market developments
Adhoc
  • Exchange control Documentation/ registration/ exceptions
  • Facility management - New/ Renewals
  • Local Regulatory/ Liquidity updates
  • Monthly BS Treasury Review
  • Quarterly Performance Reviews
  • Weekly Fx review and presentation to management
Knowledge, Skills And Abilities
  • Post Graduate Degree Educated or equivalent
  • 4 to 8 years Corporate Treasury Experience - commodity experience a benefit
  • Demonstrable numeracy Skills
  • Excellent communication Skills (written and oral)
  • Microsoft Office proficient
  • Africa Fx experience
Competencies
  • Strong Organisational Skills
  • Excellent attention to detail
  • Ability to work on own initiative
  • Team Orientated
  • Driven
  • Efficiency focused
  • Energetic & committed
Key Relationships and Department Overview:

Key Relationships
  • Various Banks (External)
  • Affiliates, Supply, Finance, Commercial Operations team , Compliance and Accounting
Occupation:
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