Are you detail-oriented with a strong background in cash management and financial processes? We are looking for a skilled Bank and Cash Administrator to manage daily banking tasks, maintain accuracy, and ensure adherence to financial governance standards. Key Responsibilities: - Manage and prepare daily cash flow, ensuring submissions meet deadlines. - Execute daily cashier tasks, including...
A leading automotive solutions provider in Johannesburg, South Africa, is seeking a qualified Head of Treasury to manage the organization's cash, liquidity, and financial risks. The role involves overseeing daily cash operations, developing cash flow forecasting models, and establishing banking relationships. The ideal candidate must have over 10 years of banking or corporate leadership...
Job Location : Pretoria, Gauteng, South AfricaApplication Deadline : February 09, 2026 Job Purpose - The Bank and Cash Supervisor is responsible for overseeing the efficient, accurate, and secure management of all banking and cash-related activities across the organisation. This includes daily treasury operations, cash flow and liquidity management, banking relationships, foreign exchange...
The Order to Cash (O2C) Clerk is responsible for managing the end-to-end process of timely invoicing, payment collection, and accurate record-keeping. This role plays a critical part in maintaining healthy cash flow and customer satisfaction. Key Responsibilities: Order Management: Verify pricing, discounts, and terms of sale. Ensure all necessary documentation is available and attached as...
Join TreasuryONE as a Cash and Liquidity Management Administrator and become part of a dynamic team dedicated to excellence in treasury management. We are seeking top achievers who thrive in high-performance environments and are eager to contribute to our mission of delivering superior financial services. As a Cash and Liquidity Management Administrator, you will play a crucial role in...
JOB DESCRIPTIONJPMorgan Chase is one of the top five “World’s Most Admired Companies,” to work for. We were named the most admired megabank for the seventh consecutive year. We are on the forefront of categories that include, but not limited to; innovation, people management and global competitiveness. Our purpose is to Make Dreams_ _Possible for everyone, everywhere, every day! Job...
Are you looking for a career move that will put you at the heart of a global financial institution? Then bring your skills in analysis, problem solving and communication to Citi.By Joining Citi, you will become part of a global organisation whose mission is to serve as a trusted partner to our clients by responsibly providing financial services that enable growth and economic progress.Team/Role...
Position: Chief Executive Officer (CEO)Company: StyloStylo is a design-led platform connecting consumers with curated interior décor, furniture, and lifestyle products. We are building a trusted, African-rooted brand that blends creativity, commerce, and technology.We are seeking a results-driven CEO to lead execution, operations, and growth while working closely with the Founder and...
The Debtor and Creditors Clerk is responsible for managing the company's accounts receivable and accounts payable functions. This involves ensuring that the organization's cash flow is maintained through timely invoicing and collection of debts, as well as processing and recording vendor invoices accurately and on time. The ideal candidate will possess strong numerical skills, attention to...
Chief Financial Officer (CFO) / Financial & Administration Manager Overview We are seeking an experienced CFO / Financial & Administration Manager to provide strategic financial leadership and strong governance oversight within a growing infrastructure and energy-related group with multiple subsidiaries and project SPVs. The role is suited to a hands-on senior finance professional who is...
What youll be doing - Reception and Office Administration - - Manage the switchboard by answering and directing incoming calls professionally. - Welcome visitors and guests, ensuring a positive and professional first impression. - Manage and maintain a neat, organized, and professional reception area. - Book and coordinate boardrooms for meetings and training sessions. - Perform general...
Project Manager Bridge Projects Job Summary - Responsible for the overall planning, execution, control, and completion of bridge projects, ensuring delivery on time, within budget, and to required quality and safety standards. Key Responsibilities Plan, manage, and coordinate all phases of bridge construction projects. Develop project schedules, budgets, and resource plans. Lead site teams...
Key Responsibilities: - Manage the full financial function for a property management portfolio. - Manage Sectional Title and Body Corporates financials - Prepare monthly management accounts and financial reports. - Oversee rental collections, landlord payments and arrears. - Manage trust and business bank accounts. - Ensure compliance with relevant legislation. - Prepare budgets, forecasts and...
Key Responsibilities: - Prepare and review monthly, quarterly, and annual financial statements - Manage budgeting, forecasting, and variance analysis - Oversee cash flow, liquidity, and working capital - Provide financial insights to support strategic decision-making - Ensure compliance with IFRS, GAAP, and internal controls - Manage and improve financial processes and SOPs - Oversee financial...
Join TreasuryONE as a Cash & Liquidity Administratorand become part of a dynamic team dedicated to excellence in Treasury Management. We are seeking top achievers who thrive in high-performance environments and are eager to contribute to our mission of delivering superior financial services. As a Cash & Liquidity Administrator you will play a crucial role in monitoring and analysing cash flows...
Company and Job Description: Welcome to the fast lane of iGaming. This organisation operates across multiple jurisdictions where things move quickly, regulations matter, and finance keeps the engine running. As the Senior Financial Manager, youll be the calm in the chaos partnering with executive leadership, owning reporting and compliance, and making sense of complex group structures while...
TreasuryONE is expanding!We are seeking a dynamic and energetic individual to join our team as a Cash and Liquidity Management Administrator. Your two years work experience in a Financial Division is essential.As a Cash and Liquidity Management Administrator, you will be responsible for:- Monitoring and analysing our valued clients cash flow and liquidity positions- Assisting in the preparation...
Company and Job Description: This role sits within a dynamic iGaming organisation operating across multiple jurisdictions. The Senior Financial Manager will work closely with executive leadership, overseeing financial reporting, compliance, forecasting, and governance. This position offers exposure to complex group structures, regulatory frameworks, and strategic decision-making within a rapidly...
Join a growing group structure with multiple entities where finance and operations work closely together. Reporting directly to the Head of Finance, this role is responsible for the end-to-end accounting function across the group, while also ensuring smooth day-to-day office operations. The environment is fast-paced, entrepreneurial, and hands-on - ideal for someone comfortable managing volume,...
Our client is seeking a Credit Controller to take ownership of the accounts receivable function, ensuring healthy cash flow, reduced ageing, and strong customer relationships. This role requires a proactive individual who thrives in a fast-paced environment and can balance firmness with professionalism when engaging with customers. This role is based in Springs, Johannesburg East. Key...