• FR
  • US
CFAO Career website CFAO: All job openings
CFAO

Follow us

  • Home
  • Submit an unsolicited job application
  • Searches, alerts
  • Divisions & Profiles
 

Log in Applicant account

I already have an applicant account

Log in to applicant account




Forgotten password?

Sign up Create applicant account

You don't yet have an applicant account. Click here to create one.

 

You are here :  Home  ›  job opening list  ›  Job details

Selection: 0 job opening (s)
CFAO Career website CFAO: All job openings
CFAO

Menu Career website CFAO

  • Home
  • Submit an unsolicited job application
  • Searches, alerts
  • Divisions & Profiles
CFAO job opening search engine
View all job openings
RSS and other feeds
Information

Head of Treasury M/F

  • Send this job opening to a friend
  • Print details (new window)

General information

Join CFAO South Africa !

 

LOGO-CFAO-SOUTH-AFRICA-6

 

 

 

 

Corporate_EN_500x167px (11).gif

 

 

 

 

From the sale of new and used vehicules and tricks, to supply -chain,logistics management, material handling ans assembly for the automotive Industry, CFAO South Africa delivers a range of integrated mobility solutions across the automotive value chain contributing towards the support, development and growth of the Automotive Industry in South Africa, and across the rest of Africa.

 

we are looking for    Head of Treasury M/F   based:   South Africa

 

Job description:


We have an exciting and challenging opportunity for a suitably qualified Head of Treasury to join CFAO Holdings South Africa. This is a locally based permanent contract in Johannesburg South Africa.

This role will oversee the organization's cash, liquidity, and financial risks to ensure financial stability and strategic growth. Key responsibilities include managing daily cash operations, forecasting cash flow, maintaining strong banking relationships, managing debt and investments, mitigating financial risks (like foreign exchange and interest rate risk), and contributing to the company's overall financial strategy.

 

Required profile :

EXPERENTIAL AND EDUCATIONAL REQUIREMENTS

  • Qualification: BCom Degree / Banking degree
  • Experience :10 to 15+ Years Bank and / or Corporate and Leadership Experience
  • Knowledge: Financial Markets (Domestic and Foreign), Trade Finance etc
  • Computer Literacy (MS Office, Excel, SAP);
  • Banking electronic platforms (Corporate; SWIFT, TMS, SAP, Kyriba (a plus))
  • Financial Expertise: Deep understanding of Treasury best practices, financial instruments, Cash management, Risk management, and financial analysis
  • Technical Skills: Proficiency in advanced Excel, financial reporting tools like Kyriba, SAP etc
  • Leadership: Strong leadership and communication skills to manage the treasury function and collaborate with senior leaders
  • Analytical Skills: Ability to analyse financial data, identify trends, and provide strategic insights
  • Strategic Thinking: Contribute to the organization's financial strategy and long-term goals

ESSENTIAL DUTIES AND RESPONSIBILITIES

          Cash and Liquidity Management: 

  • Develop and implement cash flow forecasting models
  • Manage day-to-day cash positions and short-term borrowing needs, ensure funds are available when needed, optimize working capital, and maintain cash controls
  • Maintain cash flow forecasts and provide regular reporting on cash position

          Risk Management:

  • Identify, assess, and mitigate financial risks, including interest rate, foreign exchange, credit, and liquidity risks
  • Implement hedging strategies to protect against market volatility

         Funding and Capital Markets: 

  • Oversee funding activities, including managing debt, raising capital

         Investment Management: 

  • Develop and execute investment strategies aligned with company goals
  • Evaluate investment opportunities and manage the organization's investment portfolio to maximize returns while aligning with the company's risk tolerance

         Banking and Lender Relationships: 

  • Establish and maintain strong relationships with financial institutions, negotiating terms for credit facilities and services

         Compliance: 

  • Ensure adherence to financial regulations, treasury policies, and Group Policies

         Treasury Operations:

  • Oversee Day to Day Operations (Payment processing, Bank account structures, and financial reporting, cash pooling etc)
  • Ensure compliance with regulatory requirements and debt covenants

         Leadership & Strategy:

  • Lead and mentor the treasury team
  • Collaborate with cross-functional teams to support strategic initiatives
  • Support M&A, capital investment, and restructuring projects
  • Provide financial insights and analysis to support the organization's strategic financial planning

         Ad hoc:

  • All Reporting Requirements (Group & Local)
  • Provide financial insights and analysis to support the organization's strategic financial planning
  • Any Other Ad hoc requirements


  • Legal notices
  • Cookies
  • Configure your cookies
  • Accessibility: partially compliant
  • Sitemap
Go to top