Where

Head of Treasury

TWK Agri (Pty) Ltd
Pretoria Full-day Full-time

Description:

TWK Agri has the following vacancy available: Head of Treasury within the Finance division at Pretoria, Gauteng.

Responsibilities and Duties:
  • Develop and implement cash flow forecasting models to ensure liquidity and optimise cash management
  • Monitor daily cash positions and manage short-term borrowing and investments
  • Oversee the Group’s cash management systems, bank account structures, and cash forecasting processes
  • Identify, assess, and mitigate financial risks, including currency, interest rate, and commodity price risks
  • Implement hedging strategies to protect the company against market volatility
  • Develop and execute investment strategies aligned with the company's financial goals and risk appetite
  • Evaluate and manage investment portfolios to maximise returns
  • Assess funding needs and explore financing options to support business growth and expansion
  • Manage relationships with banks, financial institutions, and investors
  • Oversee treasury operations, including payment processing, bank account management, and financial reporting
  • Ensure compliance with regulatory requirements, internal policies and debt covenants
  • Lead the development and enhancement of treasury systems, processes, and controls
  • Lead and mentor the treasury team, fostering a culture of continuous improvement and professional development
  • Collaborate with cross-functional teams to support strategic initiatives and business objectives
  • Prepare and present treasury-related reports and insights to the CFO, EXCO, and Board
  • Contribute to the development of the company's financial strategy and long-term planning
  • Develop and implement the Group’s treasury strategy in alignment with overall financial and business goals
  • Provide insights and recommendations to senior management on financial matters
  • Support M&A, capital investment, and restructuring projects from a treasury perspective
  • Develop and maintain the Group’s capital structure strategy, including debt and equity financing solutions
  • Support the Group CFO in long-term financial planning, shareholder engagement, and funding strategy


Qualifications and Skills:

  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • Postgraduate qualification (e.g., CA, CFA, or Master’s degree) (advantageous)
  • Minimum 8–10 years’ experience in treasury management
  • Extensive experience in financial reporting, analysis and leadership roles
  • Solid understanding of financial markets and risk mitigation strategies
  • Familiarity with South African financial regulations and compliance requirements
  • Proficiency in financial software and tools, including Treasury Management systems
  • Strong leadership and communication skills
  • Excellent analytical, problem-solving, and decision-making skills
  • Attention to detail
  • Strategic thinking
  • Bilingual (English & Afrikaans) (advantageous)
  • Valid driver’s license (Code 08)
  • Willing to travel

*The company can expire job adverts at any time at their own discretion.

Requirements:

  • Develop and implement cash flow forecasting models to ensure liquidity and optimise cash management
  • Monitor daily cash positions and manage short-term borrowing and investments
  • Oversee the Group’s cash management systems, bank account structures, and cash forecasting processes
  • Identify, assess, and mitigate financial risks, including currency, interest rate, and commodity price risks
  • Implement hedging strategies to protect the company against market volatility
  • Develop and execute investment strategies aligned with the company's financial goals and risk appetite
  • Evaluate and manage investment portfolios to maximise returns
  • Assess funding needs and explore financing options to support business growth and expansion
  • Manage relationships with banks, financial institutions, and investors
  • Oversee treasury operations, including payment processing, bank account management, and financial reporting
  • Ensure compliance with regulatory requirements, internal policies and debt covenants
  • Lead the development and enhancement of treasury systems, processes, and controls
  • Lead and mentor the treasury team, fostering a culture of continuous improvement and professional development
  • Collaborate with cross-functional teams to support strategic initiatives and business objectives
  • Prepare and present treasury-related reports and insights to the CFO, EXCO, and Board
  • Contribute to the development of the company's financial strategy and long-term planning
  • Develop and implement the Group’s treasury strategy in alignment with overall financial and business goals
  • Provide insights and recommendations to senior management on financial matters
  • Support M&A, capital investment, and restructuring projects from a treasury perspective
  • Develop and maintain the Group’s capital structure strategy, including debt and equity financing solutions
  • Support the Group CFO in long-term financial planning, shareholder engagement, and funding strategy
  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • Postgraduate qualification (e.g., CA, CFA, or Master’s degree) (advantageous)
  • Minimum 8–10 years’ experience in treasury management
  • Extensive experience in financial reporting, analysis and leadership roles
  • Solid understanding of financial markets and risk mitigation strategies
  • Familiarity with South African financial regulations and compliance requirements
  • Proficiency in financial software and tools, including Treasury Management systems
  • Strong leadership and communication skills
  • Excellent analytical, problem-solving, and decision-making skills
  • Attention to detail
  • Strategic thinking
  • Bilingual (English & Afrikaans) (advantageous)
  • Valid driver’s license (Code 08)
  • Willing to travel
13 May 2025;   from: careers24.com

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