Treasury, Cash and Contract Execution Lead
5 days ago
BIOVAC is one of the leading sterile vaccine manufacturers rooted in Africa, with our core purpose being to "protect life". We are looking to hire a dynamic, passionate, confident, proactive and meticulous Treasury, Cash and Contract Execution Lead to join a goal‑oriented team. QUALIFICATIONS NEEDED: Bachelors degree or diploma in Financial Accounting or equivalent. Completed Articles Preferred: CA(SA) NECESSARY EXPERIENCE & INDUSTRY KNOWLEDGE: 3+ years of recent experience in a similar role; Proven experience in cash flow management and forecasting; Exposure to foreign creditors and international payments; Experience with foreign exchange rates in major currencies Solid understanding of cross‑border imports and exports processes; Proficiency in Ms Excel and data analysis Proficient in SAP and Microsoft Office Suite or related software. KEY DUTIES & RESPONSIBILITIES OF THE ROLE: Cash Flow Management Actively manage cash flow via cash flow forecasting: Prepare and update a rolling 12‑month cash flow forecast, incorporating base business income, expenditure, material purchasing and capital expenditure, as well as project funding and budgets, and any other cash flow considerations. Liaise closely with Project Managers and Financial Planning & Analysis team to ensure that all updates are incorporated into the cash flow forecast. Monitor cash usage and balances for the companys base business, funded projects, and unfunded projects. Track the cash and deferred income balances for grant funding received in advance. Prepare monthly management accounts and reporting decks. Report on Financial Accounting deliverables and metrics relating to cash flow in Monthly meetings. Prepare cash flow statements for the Annual financial statement for all companies. Validate line items to bank statement. Ensure that excess funds are invested to maximise interest earned. Maintain the cash flow forecasting principles document. Training of staff throughout the business on Cash Flow Forecasting principles where required. Coach graduates and other team members on the preparation of cash flow statements and report. Balance Sheet forecasting: participate in budgeting cycle by preparing the budgeted balance sheet, working capital estimations and forecasted cash balances. Audit assistance relating to bank and cash. Contracts Execution Assess all contracts to identify and track deliverables required from the finance team. Maintain a contract summary to ensure visibility of all deliverables, covenants and other requirements relevant to the finance department. Develop dashboards to monitor and present funder covenant rations. Track execution costs of agreements: due diligence fees, credit applications, portfolio monitoring, bank charges for approvals, guarantees and other services, finance costs for loan terms, as well as all other costs relating to funding agreements. Ensure that costs are accounted for in the correct SAP cost centres. Maintain audit readiness and documentation for all executed contracts. Assist with internal and external audits and attend to funder audits where required. Collaborate with legal and procurement teams to ensure contract alignment with financial policies. Monitor and report on funding covenants, attend to all Funder reporting requests and ensure that internal processes meet the requirements of loan and grant agreements. Funding due diligence exercises ensure that all Financial Accounting deliverables are met. Treasury Management Responsible for overseeing all exchange control applications, including both annual submissions and ad hoc requests, in compliance with regulatory requirements. Investigate and implement solutions to manage exchange risks. Provide management advise on covering exchange rate risk through hedging or other. Review project budgets to identify expenses or suppliers which may be subject to SARB approval. Ensure that applications are submitted timeously and exchange approvals are in place when required. Tracking of exchange approvals ensure that renewals are obtained as and when required. Monitor EOIs on prepayments, ensure that documentation is provided to the bank to close outstanding EOIs. Additional Duties Banking administration onboarding and offboarding of users, FICA updates, periodic review of users and access rights. SARS audits. Internal control audits. SAP improvement projects participate in SAP projects and changes where required, lead SAP improvements for the finance department. Project accounting ensure that accounting meets requirements for capitalisation of project expenses to intangible assets. Attend to any requirements related to the new build project. Monitor and report on funding covenants, attend to all Funder reporting requests and requirements. Application Deadline: 07 November 2025 If you do not receive a response from us within three weeks of submitting your application, please understand that your application was not successful. Dear Applicant, we appreciate your interest in joining our organization. It is imperative for us that you understand how we handle your information. We are committed to ensuring the security and confidentiality of the information you provide. Your personal details will be collected for the sole purpose of the application process and will be used strictly for that purpose. By applying, you acknowledge and consent to the collection, use, and protection of your personal information in accordance with our privacy policy. If you have any inquiries or concerns, our Human Capital department is available to provide clarification. We look forward to reviewing your application. For detailed information on data handling, please review our privacy notice: #J-18808-Ljbffr
-
Strategic Treasury, Cash Flow
5 days ago
Cape Town, South Africa Biovac Full timeA leading vaccine manufacturer in Africa is seeking a dynamic Treasury, Cash and Contract Execution Lead in Cape Town. Responsibilities include managing cash flow, overseeing contracts, and ensuring compliance with financial policies. The ideal candidate holds a relevant degree and has over 3 years of experience in treasury management, with proficiency in...
-
Treasury Analyst
1 day ago
Cape Town, Western Cape, South Africa Humankind Group Full time R400 000 - R800 000 per yearCape town basedReal Estate & investment -Property/Financial servicesTreasury Analyst – Cape TownAre you passionate about financial markets, liquidity management, and making an impact in a fast-moving environment? This opportunity offers the perfect platform for a driven finance professional to grow within a dynamic and forward-thinking organisation.We're...
-
Treasury Analyst
4 days ago
Cape Town, South Africa Impact Full time**Our Company** If you are looking to join a team where your opinion is valued, your contributions are noticed, and enjoy working with fun and talented people from all over the world then this is the place for you. If you have a desire to work in an organisation that is: - Passionate about its people - Focused on delivering the very best tech to our...
-
Treasury Analyst
2 weeks ago
Cape Town, South Africa OutsideCapital Full time**Treasury Analyst** This role is responsible for supporting the Balance Sheet Management Quantitative team by performing research and analysis of quantitative financial data and developing financial models for market, credit and liquidity risks. The role also involves risk management of traditional life insurance products. The Group Treasury team is a key...
-
Treasury Analyst
4 days ago
Cape Town, South Africa Impact.com Full time**Our Company**: **Your Role at Impact** The Treasury Analyst (TA) is a detail oriented individual with the ability to work in a fast paced, high responsibility environment. The TA supports the Treasury Manager ("TM") in the effective management of our strategic and day-to-day treasury management operations in line with the Treasury Management Framework. The...
-
Sales Executive
1 week ago
Cape Town, South Africa FIS Global Full time**Position Type**: Full time **Type Of Hire**: Experienced (relevant combo of work and education) **Education Desired**: Bachelor's Degree **Travel Percentage**: 10 - 15% Are you curious, motivated, and forward-thinking? At FIS you’ll have the opportunity to work on some of the most challenging and relevant issues in financial services and technology. Our...
-
Treasury Analyst
4 weeks ago
Cape Town, South Africa Equites Full timeCompany Description Equites is a market leader in prime logistics real estate investment and development, operating as a specialist South African REIT listed on the JSE. With a strong presence in South Africa and the United Kingdom, the company develops best-in-class logistics facilities designed to maximize operational efficiency and profitability for...
-
Treasury Manager
6 days ago
Cape Town, South Africa Carry1st Full timeCarry1st is Africa’s leading publisher of mobile games and digital content. Operating at the intersection of games, publishing, and fintech, we scale awesome content in frontier markets by solving hard problems. Across our publishing and Pay1st business lines, we are partnered with top global game companies like Riot Games, Activision, and Stillfront. We...
-
Treasury Analyst
2 weeks ago
Cape Town, Western Cape, South Africa Equites Full time R400 000 - R1 200 000 per yearCompany DescriptionEquites is a market leader in prime logistics real estate investment and development, operating as a specialist South African REIT listed on the JSE. With a strong presence in South Africa and the United Kingdom, the company develops best-in-class logistics facilities designed to maximize operational efficiency and profitability for...
-
Treasury Administrator
4 days ago
Cape Town, South Africa Santam Full timeWhat will you do? Santam is looking for a passionate, proactive, and energetic individual for a position as Treasury Administrator on a 6 month Fixed Term contract. The position exists in the Group Treasury, Back-office team based in Tygervalley, Bellville. The main responsibility for this position will entail executing cross border payments and receipts...