Job Details
Job Description
Responsibilities
Process daily cash and liquidity transactions accurately and on time
Maintain updated and accurate records in treasury systems and related platforms
Ensure adherence to internal controls, company policies, and regulatory requirements
Monitor activities to detect discrepancies or risks early
Escalate anomalies, errors, or risks promptly to the line manager
Support resolution of issues by engaging with relevant stakeholders
Perform accurate data entry, reconciliations, and validations of liquidity data
Ensure systems are kept current and accurate at all times
Prepare daily, weekly, and monthly liquidity and cash reports
Provide insights to support decision-making and enhance forecasting
Identify opportunities to streamline workflows and increase efficiency
Contribute ideas during process improvement initiatives
Requirements
Bachelor’s degree or diploma in Finance, Economics, Business, or related field
1–3 years’ experience in treasury, cash management, or financial operations (preferred)
Familiarity with cash forecasting tools, liquidity systems, or treasury platforms advantageous
≥ 98% of daily tasks completed on time
100% compliance with policies; <1% error rate
≤ 24 hours turnaround time for standard queries
≥ 95% of reports delivered on time and error-free
100% completion of agreed annual development plan
Benefits
- Salary: Based on experience and qualifications.
Contact Hire Resolve for your next career-changing move today
- Apply for this role today, contact Gustav Vogel at Hire Resolve or on LinkedIn
- Send me your CV on +27 63 584 7231 (Whatsapp)
- You can also visit the Hire Resolve website: hireresolve.us or email us your CV: [email protected]
- Please use "Cash & Liquidity Officer" as your subject line when applying via email
We will contact you telephonically in 3 days should you be suitable for this vacancy. If you are not suitable, we will put your CV on file and contact you regarding any future