Job Description A top property construction company is looking for a Treasury Analyst to join their team. The ideal candidate will be involved with cashflow and cashflow forecast as well as bond accounting. Requirements: •BCom Accounting •Advanced Excel skills and knowledge •Forecasting and Reconciliation experience essential •Experience in cash administration/cashflow management/financial...
My client, a fast-growing multinational company is looking for a Treasury Analyst to join their high preforming team. The role will be responsible for a variety of treasury and banking-related matters, including cash management, forecasting, analysis, reporting, supporting bank administration and management processes, and tracking the regions liquidity positions. Education: - Bachelor’s...
JOB DESCRIPTION Make an impact with NTT DATA Join a company that is pushing the boundaries of what is possible. We are renowned for our technical excellence and leading innovations, and for making a difference to our clients and society. Our workplace embraces diversity and inclusion – it’s a place where you can grow, belong and thrive. Your day at NTT DATA The Treasury Analyst is a seasoned...
Make an impact with NTT DATA Join a company that is pushing the boundaries of what is possible. We are renowned for our technical excellence and leading innovations, and for making a difference to our clients and society. Our workplace embraces diversity and inclusion – it’s a place where you can grow, belong and thrive. Your day at NTT DATA The Treasury Analyst is a seasoned subject matter...
InfyStrat is looking for a seasoned Senior Business Analyst specializing in Finance/Treasury to join our finance team. In this critical role, you will leverage your extensive knowledge of finance operations to facilitate the gathering and analysis of business requirements, specifically related to treasury functions, cash management, and financial reporting. You will collaborate with finance...
Treasury; Manages Working Capital & Cashflow; Applies International Cash Management Principles; Investment Management; Banking & Credit Instruments; Central Liquidity Management; Treasury Reconciliation Analytical Skills;Numerical Skills;Accuracy & Attention to Detail;Interpersonal Skills;Presentation Skills FedEx was built on a philosophy that puts people first, one we take seriously. We are...
You will own full-cycle delivery of treasury technology implementations, particularly TMS rollouts, from discovery and planning through configuration, integration, and post-live support. You'll work closely with clients, developers, and business analysts to bring structure, clarity, and momentum to every project. Key Responsibilities - Drive and deliver treasury and fintech system projects...
Join a focused, intelligent team delivering mission-critical solutions that touch billions in financial flows. This is not a generic IT project role - it’s treasury, finance, and digital transformation at its best. You will own full-cycle delivery of treasury technology implementations, particularly TMS rollouts, from discovery and planning through configuration, integration, and post-live...
Location: Johannesburg Industry: Pathology & Diagnostic Services Are you a strategic thinker with a passion for data-driven decision-making? Do you thrive at the intersection of finance, analytics, and performance management? If so, we want you to lead the charge in transforming business intelligence within one of South Africa’s most vital healthcare sectors. About the Role: As the Manager:...
Overview Hire Resolve’s client is looking for a Financial Operations Analyst to join their team of professionals in Johannesburg, Gauteng. Responsibilities Validate provisional/final invoices submitted by the front office operations team against deal and the supporting documents Book invoices in commodity trading system and submit for payment Capture secondary cost invoices received and submit...
Description To ensure all Balance Sheet Management requirements are met by managing the BSM Portfolio risks and implementing the appropriate hedging solutions, reviewing ALM risk reports to ensure all risk exposures and limits are properly reported to reflect ALM risks of insurance businesses and optimize ALM and BSM processes for any potential enhancement opportunities to provide technical...
- The main purpose of this position is to provide specialist knowledge in risk analysis and financial market research in the Risk Management Unit of the Financial Markets Department (FMD) at the South African Reserve Bank (SARB). - Detailed Description Formulate, evaluate and review the financial risk and reserves management policies and processes of the SARB. - Build and formulate complex risk...
Overview: Are you ready to contribute to a global ERP transformation? Woolpert is hiring a fully remote ERP Data Analyst II to join our Corporate Applications team. This role is critical to the success of integrating newly acquired companies into our Microsoft Dynamics 365 Finance & Operations (F&O) and Customer Engagement (CE) ERP systems. You will support ERP initiatives as part of a multi-year...
As the Technical Analyst: Connectivity, you will play a key role in supporting the Connectivity Manager with the technical integration and the onboarding of the cash visibility module for new clients. Additionally, you will also ensure that all other data connections for the integration of Payments, FX Rates, FX Trades, Interest rates, and other related treasury activities are implemented...
Primary Purpose The Market Risk Analyst is responsible for identifying, measuring, monitoring, and reporting on market risks, including interest rate risk in the banking book (IRRBB) and foreign exchange (FX) risk. The role also involves performing Treasury Middle Office duties, ensuring accurate valuation, limit monitoring, and control of treasury positions. The incumbent supports the...
The Operations Manager (Business and Systems Analyst Functions) role combines strategic leadership and operational oversight with deep Capital Markets accounting and systems expertise. The successful candidate will manage people, delivery, cost, and performance within the Calypso business unit, while serving as the functional and accounting subject matter expert responsible for designing,...
Qualifications and Experience Required: - Matric plus Bachelors Degree Actuarial Science, Mathematics, Statistics, Finance, Econometrics, Quantitative Risk or a related field. - 4-6 years of experience in ALM, Financial Risk Management or Treasury - Proficiency in statistical software and programming languages (e.g., R, Python, or similar). - Understanding of financial markets, instruments, risk...
Description To ensure all Balance Sheet Management requirements are met by managing the BSM Portfolio risks and implementing the appropriate hedging solutions, reviewing ALM risk reports to ensure all risk exposures and limits are properly reported to reflect ALM risks of insurance businesses and optimize ALM and BSM processes for any potential enhancement opportunities to provide technical...
- The purpose of this position is to conduct analysis on global and domestic macroeconomic developments related to the agenda of international forums such as the G20 and BRICS, participate and represent the Bank in international fora working group meetings, compiling briefing and speaking notes for the Executive, and assist in the formulation of country policy positions and strategies for the...
Job Description Are you looking for an exciting career opportunity in the Quantitative Risk space? Are you a driven and ambitious individual and would you like to be part of a high-performance culture? We have an exciting opportunity available with one of South Africa’s leading Investment and Insurance houses based in Johannesburg The role will be responsible for: •Implementing capital...