Outputs
Financial Perspective :
- Lead the formulation of a cost-effective funding strategy aligned with the the company Corporate Plan.
- Coordinate execution of the Board-approved funding plan.
- Develop, review, and manage funding and risk hedging structures to optimise costs and minimise financial risk.
- Ensure regulatory compliance while protecting and optimising the companys financial well-being.
- Implement robust financial strategies and monitor financial activities for organisational stability and growth.
- Develop and enforce Treasury policies and accounting practices.
- Manage trades on exits of listed investments approved by the Board.
- Advise on financial market risks, legal implications, and term structures including interest rates.
- Act as an authorized dealer with informed decision-making.
Internal Processes :
Engage continuously with Operations to determine the companys funding needs.Manage liquidity planning across short-, medium-, and long-term horizons.Ensure adequate credit facilities and trading lines are documented and in place.Facilitate funding arrangements for back-to-back deals and general funding pulls.Obtain external approvals from National Treasury, DTIC, etc.Finalize loan agreements in the companys best interest with relevant parties.Oversee Balance Sheet Management for short- and long-term funding insights.Formulate treasury strategies for varying economic cycles.Develop and manage 5-year strategic models for cash and funding pipelines.Provide international economic insights to support Forex funding within JSE constraints.Review and update counterparty limits with Board approval.Manage credit reviews of financial counterparts.Experience / Skills Required
1012 years in Treasury / Investment Banking within complex organizations5+ years in leadership rolesDFI experience is an added advantageKnowledge and experience in Capital markets, funding tools, and associated risksKnowledge and experience in PFMA, Exchange Control, and Treasury regulationsKnowledge and experience in Corporate Governance and Credit Rating processesKnowledge and experience in Asset and Liability ManagementKnowledge and experience in Foreign exchange procedures and controlsKnowledge and experience in Statutory record maintenanceKnowledge and experience in Budget monitoring and risk managementKnowledge and experience in Treasury systems (Quantum, Bloomberg)Knowledge and experience in Funds Transfer PricingQualification Requirements
Minimum : Postgraduate BCom Accounting / Finance,Added advantage CA(SA) / CFA / MBAPersonal Attributes / Behaviours / Attitudes
Behavioural Competencies
Operating in a multi-cultural environmentPolitical AwarenessCoping with Pressure and SetbacksConflict ManagementNegotiating and InfluencingTechnical Competencies
Conceptual and Analytical ThinkingResults OrientationEntrepreneurial ThinkingCommercial AcumenCross-functional CollaborationCommunication & InfluenceCustomer Insight & FocusProject Management