{"id":68928,"date":"2021-11-02T08:10:41","date_gmt":"2021-11-02T06:10:41","guid":{"rendered":"https:\/\/joblistsouthafrica.com\/?p=68928"},"modified":"2021-11-02T20:49:56","modified_gmt":"2021-11-02T18:49:56","slug":"growthpoint-properties-current-job-opportunity-apply-now-5","status":"publish","type":"post","link":"https:\/\/joblistsouthafrica.com\/growthpoint-properties-current-job-opportunity-apply-now-5.html","title":{"rendered":"Growthpoint Properties Current Job Opportunity – Apply Now!"},"content":{"rendered":"
Growthpoint provides space to thrive with innovative and sustainable property solutions. We are an international property company with assets on three continents and the largest South African primary REIT (Real Estate Investment Trust) listed on the JSE. We own and manage a diversified portfolio of over 550 property assets, locally and internationally.<\/p>\n
Growthpoint is a FTSE\/JSE Top 40 Index company, a constituent of the FTSE EPRA\/NAREIT Emerging Index and is in the FTSE4Good Emerging Index and FTSE\/JSE Responsible Investment Index.<\/p>\n
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Job Title: Treasury Manager<\/strong> Job Summary:<\/strong> Duties and responsibilities:<\/strong><\/p>\n \u2022Maintain an overview of the cash management process on a daily basis plus strategic cash planning Requirements:<\/strong> 7 years in a treasury environment \/ financial markets Qualifications:<\/strong><\/p>\n Masters\u2019 degree in Finance area \/ mathematical qualification \/ Chartered Financial Analyst<\/p>\n Competencies and Skills:<\/strong><\/p>\n \u2022Organisation
\nLocation:<\/strong> Sandton, Gauteng, South Africa
\nReference #:<\/strong> TRM02 – Treasury Manager
\nContract Type:<\/strong> Permanent<\/p>\n
\nTo manage various treasury activities, including but not limited to cash and forex management.<\/p>\n
\n\u2022Maintain the cash for Fund Management companies
\n\u2022Ensure correct interest payments are made and sufficient funding is available
\n\u2022Manage inter-company loans and related documentation
\n\u2022Enter into forward exchange contracts
\n\u2022Ensure BOP forms are correctly completed for foreign payments and receipts
\n\u2022Report on CFC accounts in respect of foreign exchange control
\n\u2022Sign off on treasury journals and recons
\n\u2022Sign off payments on the banks
\n\u2022Check commitment fee and guarantee invoices and arrange for payment
\n\u2022Perform bank reconciliations
\n\u2022Load and manage transactions onto the treasury management system
\n\u2022Assist with preparation of treasury reports to senior management and Board sub-committee
\n\u2022Assist with ad-hoc projects
\n\u2022Perform loans and interest rate risk activities on a relief basis<\/p>\n
\nExperience:<\/strong><\/p>\n
\nMust have operated at a senior level for at least 2 years<\/p>\n
\n\u2022Numerical
\n\u2022Problem-solving
\n\u2022Basic logic of decision making
\n\u2022Computer literacy
\n\u2022Technical understanding of treasury fundamentals
\n\u2022Familiarity with treasury management systems and a financial information system such as Bloomberg
\n\u2022Interpretation of contractual arrangements<\/p>\n