Description:
Head of Treasury & Corporate Finance: Ready to make a real impact in the energy sector? We’re on the hunt for a strategic and forward-thinking Head of Treasury & Corporate Finance to lead the charge in managing liquidity, mitigating risk, and optimizing financial performance across a dynamic, fast-paced portfolio.This is more than a role—it’s an opportunity to shape treasury operations in a purpose-driven organization focused on responsible growth and a low-carbon future.
What you’ll be doing:
As the right hand to the CFO, you'll:
- Lead and build a high-performing treasury team from the ground up.
- Drive liquidity planning, cash flow strategy, and working capital optimization.
- Take ownership of treasury ops—think forecasting, bank relationships, credit lines, and cash positioning.
- Manage financial risks like a pro (FX, interest rates, credit—you name it).
- Oversee compliance and internal controls, ensuring regulatory alignment.
- Support investment strategy for surplus cash and ensure robust debt covenant management.
- Engage with local and international banks, internal teams across AMEA and France, and senior stakeholders.
What we’re looking for:
- A master’s degree in finance, business, engineering, or similar.
- 10+ years of deep, hands-on treasury and financial risk experience—bonus if it's in a multinational environment.
- Strong leadership chops with the ability to build, coach, and inspire teams.
- Savvy with financial regulations, including SARB, and banking practices in South Africa.
- A critical thinker and problem-solver who thrives under pressure.
- Proficiency in ERP systems (SAP experience is a big plus) and analytical tools.
- Someone who knows how to balance strategic vision with operational excellence.
How to Apply:
If you meet the above requirements, please send your resume DIRECTLY to: kmongalo@networkfinance.co.za
For more finance jobs, please visit our website: www.networkrecruitmentinternational.com
If there is no reply within two weeks, please assume that your application for the vacancy was unsuccessful. Your profile will be kept on our database for any other suitable roles / positions.
We also invite you to reach out to us to discuss your next finance career opportunity!
Requirements:
- Lead and build a high-performing treasury team from the ground up.
- Drive liquidity planning, cash flow strategy, and working capital optimization.
- Take ownership of treasury ops—think forecasting, bank relationships, credit lines, and cash positioning.
- Manage financial risks like a pro (FX, interest rates, credit—you name it).
- Oversee compliance and internal controls, ensuring regulatory alignment.
- Support investment strategy for surplus cash and ensure robust debt covenant management.
- Engage with local and international banks, internal teams across AMEA and France, and senior stakeholders.
- A master’s degree in finance, business, engineering, or similar.
- 10+ years of deep, hands-on treasury and financial risk experience—bonus if it's in a multinational environment.
- Strong leadership chops with the ability to build, coach, and inspire teams.
- Savvy with financial regulations, including SARB, and banking practices in South Africa.
- A critical thinker and problem-solver who thrives under pressure.
- Proficiency in ERP systems (SAP experience is a big plus) and analytical tools.
- Someone who knows how to balance strategic vision with operational excellence.
10 Apr 2025;
from:
careers24.com