Search by job title, skills, company or browse by categories.
Treasury
- Plaines Wilhems
- Not disclosed
- Posted Aug 3, 2026
- Closing 31/08/2026
- Accounting / Auditing / Tax Services / Finance
- Treasury Analyst
- Treasury Specialist
- Cash Management
- Accounts Officer
Job Description
The selected candidate will report to
the Group Financial Controller. He/She will manage
the organisation’s cash flow, banking activities, liquidity and financial risk
to ensure funds are available for business operations.
What you
will be doing?
- Manage the company's daily cash position and ensure adequate liquidity across all entities
- Prepare the daily cash management report as well as weekly and monthly cash flow forecasts and monitor actual cash movements against forecast
- Liaise with banks on payments, collections, account administration, guarantees and other banking facilities
- Maintain records of bank facilities, import and export loans, overdrafts and letters of credit
- Monitor bank balances and optimise the utilisation of available funds
- Prepare and reconcile daily bank statements within the ERP system
- Investigate and resolve bank reconciliation discrepancies promply
- Ensure all treasury transactions are properly authorised and comply with internal controls and company policies
- Manage foreign currency transactions and monitor foreign exchange exposure
- Execute and monitor foreign exchange transactions, including swaps and forwards
- Monitor loan repayments, interest calculations and compliance with banking convenants
- Prepare treasury reports for Management, including cash position, borrowings and liquidity analysis
- Prepare the Interest-Bearing Debt (IBD) analysis
- Maintain authorised signatory records and coordinate updates with banking institutions
- Work closely with the Accounts Payable and Accounts Receivable teams to optimise cash inflows and outflows
- Carry out any other treasury-related duties assigned by the Group Financial Controller or Finance Manager
What are we looking for?
- Strong knowledge of cash management and treasury operations
- Sound understanding of banking products and payment systems
- Proven experience in foreign exchange transactions, including swaps and forwards
- Good understanding of internal controls and financial governance
- Strong analytical and reconciliation skills
- High level of accuracy and attention to detail
- Advance Microsoft Excel skills
- Experience working with ERP systems
- Ability to work under pressure and meet tight deadlines
- Strong communication and stakeholder management skills
Location: Forest Side, Curepipe