Assist in the development of Treasury governance documents and drive risk reporting and process improvements to assist with simplification and day to day operational efficiencies
Maintain and develop treasury tools pertaining to financial risk management in hedging, and operational risk management
Manage the implementation of the Treasury Management System and roll out its use
Ensure Group Treasury models, systems and reports are updated in accordance with Policy and procedures and advise other business areas on treasury risk management matters to ensure treasury risks are within risk appetite
Contribute to the preparation, review, production of Treasury and related reports
Be a key point of contact to banks and other stakeholders
Maintain adequate controls for monitoring and reporting Treasury compliance obligations and ensure accurate, reliable, and timely reporting of Treasury risk metrics.
Complete management of the SARB reporting process for the Group
Responsible to ensure bank queries on foreign payments are resolved timeously
Responsible for foreign bank account reconciliations, ability to guide team members, provide valuable direction and insight
Management of operational petty cash reconciliations including controls and evaluation of different products.
Ability to teach and develop team members performing the reconciliations.
Assist in evaluating the effectiveness of the current hedging strategies and provide recommendations to management
Liaise with banks on hedging products and evaluate their suitability for TFG
Oversee company credit card process and constantly evaluate other solutions
Take ownership and drive ad-hoc projects to assist the Treasury team where required
Monitor, review, and implement robust controls related to treasury and cash processes, as applicable
Drive improvement in cash and borrowing management across TFG
Manage, develop, and adapt treasury functions and processes according to the Group's size and resources
Support business and Enterprise Risk Management in analyzing and responding to incidents impacting Finance Risk
Leadership * Oversee talent management for direct and indirect reports in recruitment, retention, and development
Oversee performance management and development of all shared service staff
Ensure adherence to shared service performance management requirements, providing continuous feedback, Motivate, develop, and appraise staff to meet performance and customer needs
Collaborate with Centres of Excellence and the Shared Service Centre to ensure effective cash management and risk control procedures
Work with internal and external stakeholders to manage cash flow and execute daily financial decisions
Qualifications and Experience:
Appropriate tertiary education in finance, risk or economics
10 years' experience in AP specifically Foreign Payments
3 years' experience in Treasury as an analyst or specialist with holistic experience in all areas of corporate treasury
Knowledge of financial instruments for risk management is critical
Solid knowledge of Microsoft Excel, Word, and PowerPoint.
Extensive experience with IT2, Reuters, SAP, foreign and local banking platforms is required
Skills:
Strong leadership qualities including purposeful collaboration, influencing others, and able to drive change
Highly proactive and an ability to manage and oversee projects
Strong relationship building qualities
Strong communication skills (verbal, written and presentation).
Interpersonal skills.
Organising and planning skills.
People management skills.
Analytical and strategic thinking
Able to handle stress and work in a pressurised environment.
Able to manage time effectively
Agile and flexible and ability to work independently
Behaviours:
Being Resilient - rebounding from setbacks and adversity when facing difficult situations.
Builds Networks - establishes and nurtures internal and external relationships in order to create robust, and mutually beneficial, partnerships
Cultivates Innovation - creates an environment that fosters and nurtures a culture of creativity which drives success
Decision Quality - consistently makes timely, well-rounded and informed decisions
Ensures Accountability - takes accountability and ensures others are held to account on agreed upon performance targets
Manages Complexity - interprets and simplifies complex and contradictory information when resolving organisational problems
Organisational Savvy - understands and navigates dynamics created by processes, systems, and people
Situational Adaptability - effectively adjusts their behaviour, approach, and decision-making based on the situation
Strategic Mindset - thinks and plans strategically, focusing on the long-term goals and objectives of the organisation
Preference will be given, but not limited to candidates from designated groups in terms of the Employment Equity Act.
Please ensure that your line manager is aware and supports your application Preference will be given, but not limited to candidates from designated groups in terms of the Employment Equity Act. #LI-SN1 About Us: Who we are is because of our people. They are our greatest asset. TFG is an internationally diversified retail portfolio of 34 speciality lifestyle and apparel brands that Inspire our Customers to live their Best Lives and are woven into the lives of millions. Our vision is to create the most remarkable omnichannel experiences for our customers. TFG is more than a workplace, it's a launchpad for your growth. Join us and explore endless growth opportunities across our diverse brands. We're a purpose-led business, and on this team, you'll share the pride of making an impact across a whole industry. We're the designers, the makers, the shakers and the teams behind the scenes. Are you with us?
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