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Role Summary: The candidate supports the Head of Group Treasury in day-to-day treasury operations, cash and liquidity management, banking administration and related reporting, while driving process improvements and automation.
Employment Type: Permanent
Reports to: Head of Group Treasury
Key Competencies: Cash & liquidity management; cash flow reporting and forecasting; bank account administration & KYC; bank reconciliation; SAP process improvement and automation; Treasury Management Systems (e.g., Kyriba).
Roles and Responsibilities:
Requirements:
Join our team and be part of an exciting journey towards personal and professional growth to make a real impact on global trade. If you are interested in the career opportunity, we invite you to apply today.
We regret that only shortlisted candidates will be contacted.
Attention to recruitment agencies:
X-Press Feeders/Eastaway operates with a preferred supplier list (PSL) for recruitment purposes. As such, we will not be considering or accepting unsolicited applications from non-PSL agencies for the role currently available. We kindly request that you refrain from submitting applications on behalf of your clients. Thank you for your understanding and cooperation.
Job ID: 147259771
Skills:
SAP, Power Bi, Excel, Sharepoint
Skills:
Financial Products, hedge accounting, SAP Treasury Management Systems
Skills:
Apo, SAP, Ms Office, Statistical skills, Statistical forecasting
Skills:
campaign analytics, Excel, Ms Office Suite, MS Project, marketing automation tools, Crm Systems
Skills:
TP documentation, Transfer Pricing, WHT, Gst, tax automation, Direct Tax, Vat, Indirect Tax, Tax Risk Management, CIT, Tax Compliance
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