
Cash & Liquidity Officer
- Gauteng
- R20,000-25,000 per month
- Permanent
- Full-time
- Monitoring Cash Flow: Ensuring accurate recording and analysis of client cash flow and liquidity positions.
- Forecasting: Assisting in creating daily, weekly, and monthly cash flow forecasts.
- Cross-functional Collaboration: Working closely with various teams to enhance cash and liquidity management.
- Process Improvement: Identifying opportunities for efficiency improvements in treasury operations.
- An Degree in Finance, Accounting or suitable related field.
- A minimum of two years working experience in a financial division.
- Strong analytical skills to accurately interpret financial data.
- Excellent communication skills for effective interaction with team members and clients.
- A proactive approach to learning and adapting in a fast-paced environment.
- Hands-on Experience: Work within a rapidly growing treasury department.
- Mentorship: Receive guidance from experienced professionals.
- Training Opportunities: Enhance your skills through various training programmes.