This is a hands-on treasury role at the core of a fast-paced business. Cash moves constantly volumes scale rapidly and decisions need to be made in real time. Youll work closely with product tech and banking partners to keep everything running at speed. If you thrive on building and stress-testing systems enjoy operating in high-velocity environments and know how to balance control with momentum in a scaling tech-led business this role is for you.
Drive forward-looking cash and float forecasts to enable seamless client onboarding and product launches
Own daily oversight of client fund flowssettlements prefunding internal transfers and timing of inflows/outflows
Maintain real-time liquidity visibility to guarantee accelerated payouts and robust funding buffers
Anticipate high-volume periods and proactively secure liquidity for weekends holidays and peak spikes
Spot and escalate liquidity pressures or settlement risks before they disrupt operations
Manage funding positions where the business advances or underwrites client funds pre-settlement
Track and control exposures with banks payment networks and third-party providers within risk limits
Partner with reconciliation teams to resolve breaks fastanalyse root causes and implement fixes
Keep treasury policies controls and assumptions audit-ready and regulator-compliant
Continuously optimize treasury frameworks to scale with growing transaction volumes
Oversee test funds and simulated transactions across all environments
Sign off on new payment methods settlement flows and banking integrations with risk input
Validate and monitor new settlement structures post-launch for accuracy and security
Collaborate with Product to embed funding settlement and risk considerations into new offerings
Shape dashboards alerts and control tooling with Product and Engineering for real-time visibility
Align treasury operations with Finance Compliance and regulatory standards
Design scalable treasury models and infrastructure to support rapid business growth
Skills & Experience:
Minimum 5 years treasury management experience in a high-volume transaction environment
Exposure to Tech Banking Retail FMCG Fintech or Shared Services preferred
Hands-on experience with dashboards reporting tools and data extracts (non-negotiable)
Proficiency in SQL Power BI and advanced spreadsheet skills
Ability to automate processes and improve operational efficiency
Strong understanding of end-to-end fund flows prefunding liquidity management and reconciliations in high-volume environments
Proven track record of managing relationships with banks payment schemes and processors
Qualification:
Degree in Finance Accounting or Economics
CA(SA) beneficial
Contact TATUM ROBINSON on quoting Ref: CTF022081.
Connect with us on and Register your CV to create a profile and to view all our financial recruitment vacancies.
Let us assist you with your career. For further Finance jobs Accountant jobs Financial Manager vacancies and Management Accountant vacancies.
If you have not had any response in two weeks please consider your application unsuccessful. Your profile will be kept on our database and we will connect with you with any other suitable roles or positions.
Required Experience:
Manager
This is a hands-on treasury role at the core of a fast-paced business. Cash moves constantly volumes scale rapidly and decisions need to be made in real time. Youll work closely with product tech and banking partners to keep everything running at speed. If you thrive on building and stress-testing s...
This is a hands-on treasury role at the core of a fast-paced business. Cash moves constantly volumes scale rapidly and decisions need to be made in real time. Youll work closely with product tech and banking partners to keep everything running at speed. If you thrive on building and stress-testing systems enjoy operating in high-velocity environments and know how to balance control with momentum in a scaling tech-led business this role is for you.
Drive forward-looking cash and float forecasts to enable seamless client onboarding and product launches
Own daily oversight of client fund flowssettlements prefunding internal transfers and timing of inflows/outflows
Maintain real-time liquidity visibility to guarantee accelerated payouts and robust funding buffers
Anticipate high-volume periods and proactively secure liquidity for weekends holidays and peak spikes
Spot and escalate liquidity pressures or settlement risks before they disrupt operations
Manage funding positions where the business advances or underwrites client funds pre-settlement
Track and control exposures with banks payment networks and third-party providers within risk limits
Partner with reconciliation teams to resolve breaks fastanalyse root causes and implement fixes
Keep treasury policies controls and assumptions audit-ready and regulator-compliant
Continuously optimize treasury frameworks to scale with growing transaction volumes
Oversee test funds and simulated transactions across all environments
Sign off on new payment methods settlement flows and banking integrations with risk input
Validate and monitor new settlement structures post-launch for accuracy and security
Collaborate with Product to embed funding settlement and risk considerations into new offerings
Shape dashboards alerts and control tooling with Product and Engineering for real-time visibility
Align treasury operations with Finance Compliance and regulatory standards
Design scalable treasury models and infrastructure to support rapid business growth
Skills & Experience:
Minimum 5 years treasury management experience in a high-volume transaction environment
Exposure to Tech Banking Retail FMCG Fintech or Shared Services preferred
Hands-on experience with dashboards reporting tools and data extracts (non-negotiable)
Proficiency in SQL Power BI and advanced spreadsheet skills
Ability to automate processes and improve operational efficiency
Strong understanding of end-to-end fund flows prefunding liquidity management and reconciliations in high-volume environments
Proven track record of managing relationships with banks payment schemes and processors
Qualification:
Degree in Finance Accounting or Economics
CA(SA) beneficial
Contact TATUM ROBINSON on quoting Ref: CTF022081.
Connect with us on and Register your CV to create a profile and to view all our financial recruitment vacancies.
Let us assist you with your career. For further Finance jobs Accountant jobs Financial Manager vacancies and Management Accountant vacancies.
If you have not had any response in two weeks please consider your application unsuccessful. Your profile will be kept on our database and we will connect with you with any other suitable roles or positions.
Required Experience:
Manager
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