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Corporate Forex Trader M/F

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Job details

General information

Territoire (logo)

Reference number

CORPFOREXTRADER-3091  

Job details

Profile

Finance - legal - Treasury

Position title

Corporate Forex Trader M/F

Contract

Unlimited-term contract

Contractual hours

Full-time

Mission description

We have an exciting and challenging opportunity for a suitably qualified Corporate Foreign Exchange Trader to join CFAO Holdings South Africa's Treasury Department. This is a locally based permanent contract in Johannesburg South Africa.

PURPOSE OF THE JOB:

The Foreign Exchange Trader is responsible for buying and selling currencies on behalf of Subsidiaries & Head Office SA. They monitor market trends, monitor economic indicators, and execute trades to maximize profits and minimize risks. This role requires a deep understanding of global financial markets, strong analytical skills, and the ability to make quick decisions in a fast-paced environment

This role will also support with all aspects relating to foreign currency Management for all subsidiaries [Except CFAO Mobility]. It will ensure all Forex exposures are hedged & converted within minimal lead time. There will also be the management of interest impact & to ensure cash liquidity is available as and when required pertaining to Foreign Currency.

Profile

EXPERENTIAL AND EDUCATIONAL REQUIREMENTS

  • Qualification: BCom / Banking degree / Treasury Diploma or Equivalent
  • 10+ Years Bank and / or Corporate - Front and / or Middle office Treasury Experience
  • Good understanding and 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

Foreign Currency Cash Management

  • Daily reconciliation of Foreign Currency [CFC] bank accounts on Kyriba
  • Update daily forecasting into Kyriba
  • Management of liquidity for All subsidiaries [Except CMSA]
  • Manage FX trading limits for All subsidiaries [Except CMSA]
  • Hedging Foreign Currency requests
  • Ensure daily rates are accurate and align in ERP's and sent to business accurately
  • Ensure ED rates are updated and checked daily
  • Manage daily Forex positions
  • Ensure accurate import of open items daily into TMS system
  • Ensure Exchange Control compliance on all hedging
    Bank Register Management (Each Deal has Pmnt / Extended / Surrender)
  • Capture External FEC deals into TMS
    FEC Journal Posting (Validate)

Loans and CFC overdrafts

Update Foreign currency loans and overdrafts on Kyriba [Communicate completion with CCMD]

Domestic Cash Management

  • Ensure funding for maturing Foreign exchange deals

AD-HOC PROCESSES

  • Audit and PACI deliverables
  • Update interest rates relating to CFC accounts
  • Support with Treasury Management System and work together with Head of Treasury for System improvements
  • Any other Ad-Hoc Treasury related duties
  • Weekly feedback to Head of Treasury about all occurrences within the team
  • Back-up for all Treasury team members
  • Manage Banking platforms as and when required
  • Update Dealing Mandates as and when required
  • Electronic Platform Managment [Broadridge, TMS (New Users etc)

REPORTING REQUIREMENTS

  • Complete all required reports on a weekly, monthly and quarterly basis as requested and specified by management

DAILY REPORTING

  • Ensure updating of bank register maturing Foreign currency deals on Kyriba

MONTHLY REPORTING

  • Compile and investigate information as required
  • Check Month-end closing rates. Update schedules and submit to business
  • Confirm month-end closing balances [Foreign Deposit & Borrowing]
  • Reconcile, submit and recovery intercompany interest [Foreign loans]
  • Check the reconciliation of FEC accounts [505901 / 10099999]
  • Check the reconciliation MTM all Subsidiaries [Except CMSA] and Explanation
  • Check the HFM MTM Reconciliation
  • Check the reconciliation of Lead Days all Subsidiaries [Except CMSA] and Explanation
  • Compile and analyse Month-End Position & Present monthly to teams
  • Feedback on Position issues to Head of Treasury Monthly
  • Check the reconciliation of Allocations of all Subsidiaries [Except CMSA] and Explanation

QUARTERLY REPORTING

  • HFM reporting (Position, Spot [Foreign], loans [Foreign], Forex)

Job location

Job location

Africa, South Africa

Location

Sandton, Johannesburg

Applicant criteria

Education level

Bachelor or equivalent

Experience level

11 to 15 years


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