Job SummaryTreasury ControllerFinance
Accountable for quality, standards, service and desired outputs within inter-related functional areas of responsibility. May be responsible for work of others.Job Purpose
To manage and monitor daily cash management transactions, reports cash operation activities and supports borrowing/investment transactions. Ensures liquidity and prepares cash flow projections. Additional responsibilities include assisting in the development of bank relationships, determination of investment & and anticipation of short-term borrowing needs. Responsible for liquidity management, including in-house banking and providing payment support, as applicable. Assesses the products, services, technologies and systems that are available and appropriate for the Bevco Treasury department. Oversees all aspects of the company's financial risk exposures including interest rate risk and foreign currency riskKey Accountabilities and Outputs
Treasury Control
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