Our esteemed client is a leading renewable energy company headquartered in Gauteng, focused on accelerating the transition to a carbon-neutral economy through large-scale power generation, decentralized energy solutions, and innovative technologies such as green hydrogen and energy storage. We are seeking an experienced Treasury Officer to support daily cash operations within a dynamic, global energy environment. To work closely with the Head of Treasury and finance team, taking ownership of cash positioning, liquidity management, and short-term forecasting in a fast-paced, project-driven business. This role is located in Johannesburg . Job Responsibilities: Manage daily cash operations and cash positioning. Monitor liquidity and cash flow requirements. Prepare and maintain short-term cash forecasts (up to 12 months). Produce cash reporting and transaction analysis. Support treasury controls, compliance, and financial reporting. Qualifications & Skills Requirements: Degree in Finance or related field. 3–5 years’ experience in treasury / cash operations. Strong Excel skills (advanced level essential). Experience with SAP or similar ERP systems. Solid understanding of financial controls, risk, and compliance. Knowledge of SARB regulations is advantageous. Key Skills: Strong analytical and problem-solving ability. High attention to detail and accuracy. Proactive and able to work independently. Excellent communication and stakeholder management. Team player with a collaborative mindset. #J-18808-Ljbffr
Treasury Officer
TRS STAFFING SOLUTIONS
johannesburg, johannesburg
Published 16 days ago
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