Responsibilities Take ownership of the full finance function, including reporting, FP&A, accounts payable, tax, and compliance Lead and deliver treasury and financial risk engagements across a diverse client base Develop and implement robust treasury frameworks, policies, and governance models Analyse and manage liquidity and funding risks, including cash flow forecasting practices Contribute to asset and liability management (ALM), capital strategy, and performance insights Advise on interest rate risk, hedging approaches, and balance sheet optimisation strategies Assess and enhance treasury operations, controls, and supporting systems Collaborate with stakeholders to define requirements and deliver impactful solutions Ensure alignment with regulatory obligations and industry frameworks across institutions Support business development efforts through proposals, presentations, and market research Oversee project execution, timelines, and cross‑functional coordination Provide insights on macroeconomic trends and regulatory developments impacting treasury Drive innovation and continuous improvement in treasury risk methodologies Skills & Experience Minimum 5 years’ experience within treasury, financial risk, or financial services Strong expertise in treasury operations, liquidity management, and funding strategies Proven experience in ALM, FTP, capital management, and financial analysis Exposure to banking, asset management, or insurance sectors Sound knowledge of regulatory frameworks such as FICA, the Banks Act, and Financial Markets Act Excellent analytical thinking, stakeholder engagement, and project delivery skills Qualification BCom Honours (Finance, Commerce, or equivalent) CA(SA), CFA, or similar professional designation advantageous #J-18808-Ljbffr
Treasury Risk Manager
COMMUNICATE FINANCE
randburg, randburg
Published 17 days ago
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