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      Head - Treasury Finance, Operations

      Remuneration:cost-to-company 
      Location:Johannesburg
      Job level:Mid
      Type:Permanent
      Reference:#9c85b20d-4fa7-49de-9

      Job description

      Requirements:
      • Bachelor’s degree in Finance, Banking, Accounting, Financial Management, or a related Financial services field.
      • 3- 5 years experience in a banking, payments, or treasury support environment.
      • Experience in end-to-end treasury operations, systems, and controls across front, middle, and back office.
      • Experience in implementing treasury and risk management systems, with FIS experience advantageous and Microsoft Dynamics 365 and EDW integration experience preferred.
      • Experience performing system and trade reconciliations, with strong knowledge of FX, money markets, fixed income and derivatives.
      • Knowledge of relevant regulatory requirements and local laws, with banking and payments-related qualifications such as ACI or PASA and industry certification in banking and financial markets advantageous.
      Responsibilities:
      • Lead the delivery of comprehensive support services to treasury and payment operations.
      • Provide expert guidance and oversee the efficient day-to-day operations of treasury finance, treasury operations, treasury technology and payment operations.
      • Perform daily and monthly financial reconciliations between front office systems, risk systems and the finance general ledger.
      • Perform variance analysis between front office P and L and the finance general ledger and ensure variances are analysed and explained.
      • Provide daily end-to-end front office support, including trade verification, confirmation, settlements, reconciliation and reporting.
      • Manage events processing, margining and collateral management activities.
      • Strengthen the end-to-end treasury operations model in collaboration with finance, regulatory, IT and risk teams.
      • Ensure middle office activities support governance, regulatory and risk business objectives.
      • Reconcile and validate trade capture and day trading activities accurately and within required timelines.
      • Assist in resolving trade discrepancies arising from trade failures and breaks.
      • Resolve payment queries and discrepancies arising from internal RTGS STP failures or industry payment failures.
      • Ensure treasury-related internal accounts are reconciled by clearing outstanding exceptions.
      • Drive process efficiency, digitisation and optimisation of resources across treasury systems and technology.
      • Provide UAT support for bug fixes, system enhancements and new treasury products.
      • Manage treasury technology initiatives, production issues, new product implementations, BCP and DR processes, and implementation partner relationships through successful delivery.


      Requirements

      • Implementation
      • Management
      • Operations
      • Project management
      • Risk management
      • Business analysis
      • Variance analysis


      Company Description

      Our client is in the Financial Services industry.



      Posted on 08 Oct 09:50, Closing date 7 Nov

      The Skills Mine
      Connecting highly talented individuals with organisations that recognise the power of talent to optimise business effectiveness.
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