Head Of Treasury

Head Of Treasury
Company:

Prebless-It Recruitment


Place:

Gauteng


Job Function:

Finance

Details of the offer

MAIN PURPOSE OF THE JOBTo provide strategic direction to the Treasury department. To develop and manage strategies, operations and policies in respect of the bank's treasury function, which involves asset and liability management, liquidity and capital planning, funding operations, investment portfolio management and third party fund administration.KEY PERFORMANCE AREASDesign and Implement the Treasury Strategy as Aligned to the Corporate PlanGives funding advice to guide decisions pertaining to strategic initiatives and potential fundingCollates the information into a workable document for use for review and buy-in for the development of a divisional strategy and implementation roadmapInforms affected groups/divisions of the strategic intent of the specific working area to adjust or modify associated roadmaps and strategyCompiles the final version of the strategy and roadmap in the prescribed organisational format inclusive of organisational position related to the specific elementsMakes the appropriate recommendations related to the strategy and roadmap to the relevant role playersImplements the Strategy and RoadmapProcesses, Policy and Treasury function Limit Development and Financial Risk ManagementProcess, Policy and Limit DevelopmentFinancial Risk ManagementManages the Bank's Assets and LiabilitiesDirects and supervises the development and production of monthly and quarterly risk management information (including but not limited to interest rate and currency risk reports, financial projections, liquidity and capital planning reports) to enable strategic decision-making for the bank's balance sheetLeads the Bank's resource mobilization effortsSupervises and contributes to the formulation, periodic review and distribution of Asset and Liability Management policies and guidelines for the BankManages the Bank's Capital Funding, Liquidity and Optimises Investment Returns on Surplus CashConducts cash flow forecastingDetermines, monitors and manages the Bank's funding requirementsLiaises with investors, shareholders and banks to ensure the Bank has sufficient funding at all timesManages the Cost of funding and advise on adjustments and amendments to proactively deal with market changesEnsures sufficient sources of capital are available to exceed the target Capital Adequacy Ratios. Instructs cash office and front office liquidity to invest the surplus cash relative to approved limitsFormulates the strategy and oversees the execution of third party fund administrationDirects and oversees the development of service level agreements and contractual agreementsTakes ultimate responsibility for disbursement of funds in line with service level agreements and contractual agreementsProvides strategic oversight regarding fund launch support; providing operational guidance in terms of key fund terms and accounting and administration mechanicsEstablishes policies and standard operating procedures pertaining to third party fund operational support and administrationEnsures robust third party fund accounting and reporting processes are placeDirecting Treasury OperationsTakes ultimate accountability for the implementation of new banking technologies and services aimed at improving the treasury function and simplifying treasury operationsUltimately responsible for the overall direction, coordination, and evaluation of the treasury operationsDirects the development and maintenance of a robust treasury operations management frameworkOversees the review of treasury operating processes with the aim of promoting industry best practicesInvestor Relations and Stakeholder Relationship ManagementDevelops and implements a fit-for-purpose investor relations strategy to enhance the bank's reputation and credibility among funders, partnership stakeholders, investors, analysts, and the financial communityBuilds strong relationships with existing and potential investors and analysts by providing accurate, timely and relevant information about the bank's performance, financials, and strategic initiativesFulfils the role of primary point of contact for investor inquiries and manage all investor communications, investor presentations, and investor meetingsProactively identifies and engages with potential new investors and analysts to increase the company's visibility and attract investment interestDepartmental and People ManagementPerformance ManagementCapacity PlanningFinancial ManagementRequirementsQUALIFICATIONS AND EXPERIENCE3 year qualification in Accounting, Finance or EconomicsCFA / CASenior Management experience in a typical finance environment including cash management = 10 YearsSenior Leadership & Management experience of Treasury Function = 10 YearsSenior management experience in fixed income markets (specifically, debt issuance and Management) = 10 YearsExtensive experience in debt capital markets and funding operations = 10 YearsCritical Competencies:Macro Business Environment and financial markets - debt and capital marketsFinancial Accounting and IFRSFinancial instruments (including derivatives)Treasury policy, controls and managementAsset and liabilities managementFinancial risk managementThird party fund managementInvestor relations
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Source: Whatjobs_Ppc

Job Function:

Requirements

Head Of Treasury
Company:

Prebless-It Recruitment


Place:

Gauteng


Job Function:

Finance

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