Introduction
An exceptional opportunity exists with our client a JSE-listed Real Estate Investment Trust (REIT) and market leader in logistics property investment and development . Based in Cape Town this organisation is recognised for its excellence in prime logistics real estate across South Africa and beyond.
They are seeking a Treasury Analyst to join their growing Finance and Treasury team providing analytical operational and strategic support in liquidity management debt capital markets and financial planning . This newly created position offers direct exposure to C-suite leadership including the CFO Treasurer and Treasury Manager within a dynamic fast-paced corporate environment.
Duties & Responsibilities
Transaction Recording & Treasury Systems
- Accurately record and maintain all loan debt and derivative transactions in the Treasury Management System (TMS) .
- Ensure the integrity accuracy and completeness of all treasury data for internal and external reporting.
- Support system automation data validation and treasury process improvement initiatives.
Treasury Payments & Settlements
Manage and execute treasury-related payments on loans derivatives and financial instruments .Oversee settlement processes ensuring adherence to internal controls and compliance with corporate governance standards.Support the Treasury Manager in managing relationships with banks lenders and counterparties .Liquidity & Cash Flow Management
Monitor daily cash positions short-term liquidity forecasts and funding requirements .Identify and mitigate liquidity and refinancing risks .Assist in the management of group cash flow debt funding and banking facilities .Reporting Analysis & Strategic Support
Prepare management reports dashboards and key performance indicators (KPIs) on cash flow debt and risk exposures.Conduct financial analysis scenario modelling and sensitivity testing for senior management decision-making.Support the CFO and Treasury leadership in financial planning and analysis (FP&A) capital structure and hedging strategy development.Desired Experience & Qualification
Bachelor’s Degree in Finance Accounting Economics or related discipline (postgraduate qualification advantageous).2–4 years’ experience in corporate treasury banking or corporate finance .Strong understanding of loan instruments derivatives interest rate risk and liquidity management .Experience with Treasury Management Systems (TMS) and financial reporting tools .Advanced Microsoft Excel and data analysis skills; familiarity with BI tools advantageous.Excellent analytical organisational and communication skills.Ability to prioritise effectively and manage multiple deadlines in a high-performance environment.Key Competencies
Treasury Operations & Cash ManagementLiquidity Forecasting & Risk ManagementDebt & Derivative AccountingFinancial Modelling & AnalysisTreasury Systems (TMS) AdministrationCorporate Finance & Funding StrategyTreasury Reporting & Internal ControlsRemuneration
Competitive Market Related Salary
What the Company Offers
Exposure to high-impact corporate finance projects and direct collaboration with senior executives.Hands-on experience in funding liquidity and risk management within a listed REIT environment .Opportunity to build deep expertise in capital markets derivatives and corporate treasury strategy .Competitive remuneration and comprehensive benefits package.A collaborative forward-thinking culture that values innovation analytical rigour and professional growth .Interested Apply online
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Required Skills :
Treasury Analyst Corporate Treasury Cash Flow Forecasting Liquidity Management Treasury Operations Treasurty Reporting Debt Capital Markets Derivatives Accounting Treasury Management System Treasury Analyst South Africa Financial Planning and Analysis Corporate Finance Analyst REIT Jobs
Key Skills
EAM,Economics,IT Business Analysis,Information Security,Android Development
Employment Type : Full Time
Experience : years
Vacancy : 1