General information
Reference number
CASHMNGMANAGER-3093
Job details
Profile
Finance - legal - Treasury
Position title
Cash Management Manager M/F
Contract
Unlimited-term contract
Contractual hours
Full-time
Mission description
We have an exciting and challenging opportunity for a suitably qualified Cash Management Manager to join CFAO Holdings South Africa's Treasury Department. This is a locally based permanent contract in Johannesburg South Africa.
Profile
EXPERENTIAL AND EDUCATIONAL REQUIREMENTS
- BCom Degree / Banking degree
- 10 to 15+ Years Bank and / or Corporate - Front and / or Middle office Treasury Experience
- Knowledge of Economic Impacts, Domestic and foreign markets
- Intermediate Computer Literacy (MS Office, Excel a must and SAP);
- Banking electronic platforms (Corporate; SWIFT, TMS, SAP, Kyriba (a plus))
ESSENTIAL DUTIES AND RESPONSIBILITIES
DAILY PROCESSES
Domestic Cash Management
- Management of daily liquidity for all subsidiaries [Except CMSA]
- Daily reconciliation of Domestic Current and call bank accounts on Kyriba
- Daily Management of facility Limits with Banks for CHSA
- Ensure daily funding for maturing Foreign exchange deals
- Validate ERP GL versus MT940 reconciliation and balancing
- Validate Bank statements are imported daily
Group Cash Pooling Management
- Negotiate optimal borrowing or deposit rates with Banks
- Update rates on Kyriba (Bank and Intercompany rates)
- Daily Cash sweeping To / From Subsidiaries
- Daily Cash sweeping To / From CFAO Holdings to Investment or Borrowing Accounts with Banks
AD-HOC PROCESSES
- Manage Banking relationships [Facilities, Rates etc]
- Manage Corporate Cards [New, Replacement, Renewals]
- Update interest rates relating to Domestic accounts
Audit and PACI deliverables - Adhoc Treasury duties
- Weekly feedback to Head of Finance about all occurrences within the team
- Manage Electronic platforms
- Update Domestic Dealing Mandates
- Update Domestic Standard Settlements Instructions [SSI]
- Manage Group Policies, Standard Operating, Cash Management procedures
- Validate KYC and FICA as and when needed
REPORTING REQUIREMENTS
- Complete all required reporting requirements [Daily, Weekly, Monthly, Quarterly, Annual Budget]
- Reconcile & Analyse monthly Bank Charges
Closing Cash Position reporting - Approve GL vs Bank balances [MT940]
- Ensure forecasting is updated monthly [Local & Foreign)
- Reconcile, submit and recovery intercompany interest
- Reconciliation of Cash Pooling GL's to Intercompany loans (Payables and receivables)
- Ensure monthly collection of intercompany interest 15th
Loan and deposit register (Domestic) - Update Card utilisation and save statements
- Quarterly HFM reporting
STAFF MANAGEMENT
- Annual Target Setting
- Monthly one on one sessions
- Half yearly AAI [Jointly with Forex Management]
Job location
Job location
Africa, South Africa
Location
Sandton, Johannesburg
Applicant criteria
Education level
Bachelor or equivalent
Experience level
11 to 15 years