- Lead the treasury function with a focus on revenue generation via hedging and foreign exchange (FX) movements.
- Identify risk assessment opportunities, driving strategic decisions that impact the bottom line.
- Enhance existing processes and controls, supporting the ongoing transformation projects.
- Manage cash flow, liquidity, and ensure financial risk management is effectively handled.
- Provide key financial insights and strategies to support business decision-making.
- Ideally AMCT or ACT qualified, or hold a professional qualification such as ACA, ACCA, or CIMA.
- Experience within a trading brokerage environment is highly desirable. Alternatively, experience in a fintech start-up or financial services sector is also relevant.
- Strong working knowledge of Sun Systems is advantageous.
- Demonstrated experience in a hands-on treasury role, with exposure to revenue-generating activities through FX and risk management.