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  • Posted: Jul 14, 2025
    Deadline: Not specified
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  • With a turnover of more than 7.9 billion euros, access to 46 of the continent's 54 countries and 22,600 employees. CFAO is a major player in the fields of mobility, health, consumer goods, infrastructure and energy. A partner of major global brands, the Group operates across the entire value chain - import, production, distribution - according to the bes...
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    Cash Management Manager M/F

    EXPERENTIAL AND EDUCATIONAL REQUIREMENTS

    • BCom Degree / Banking degree
    • 10 to 15+ Years Bank and / or Corporate - Front and / or Middle office Treasury Experience
    • Knowledge of Economic Impacts, Domestic and foreign markets
    • Intermediate Computer Literacy (MS Office, Excel a must and SAP);
    • Banking electronic platforms (Corporate; SWIFT, TMS, SAP, Kyriba (a plus))

    ESSENTIAL DUTIES AND RESPONSIBILITIES

    DAILY PROCESSES
    Domestic Cash Management

    • Management of daily liquidity for all subsidiaries [Except CMSA]
    • Daily reconciliation of Domestic Current and call bank accounts on Kyriba
    • Daily Management of facility Limits with Banks for CHSA
    • Ensure daily funding for maturing Foreign exchange deals
    • Validate ERP GL versus MT940 reconciliation and balancing
    • Validate Bank statements are imported daily

    Group Cash Pooling Management

    • Negotiate optimal borrowing or deposit rates with Banks
    • Update rates on Kyriba (Bank and Intercompany rates)
    • Daily Cash sweeping To / From Subsidiaries
    • Daily Cash sweeping To / From CFAO Holdings to Investment or Borrowing Accounts with Banks

    AD-HOC PROCESSES

    • Manage Banking relationships [Facilities, Rates etc]
    • Manage Corporate Cards [New, Replacement, Renewals]
    • Update interest rates relating to Domestic accounts
      Audit and PACI deliverables
    • Adhoc Treasury duties
    • Weekly feedback to Head of Finance about all occurrences within the team
    • Manage Electronic platforms
    • Update Domestic Dealing Mandates
    • Update Domestic Standard Settlements Instructions [SSI]
    • Manage Group Policies, Standard Operating, Cash Management procedures
    • Validate KYC and FICA as and when needed

    REPORTING REQUIREMENTS

    • Complete all required reporting requirements [Daily, Weekly, Monthly, Quarterly, Annual Budget]
    • Reconcile & Analyse monthly Bank Charges
      Closing Cash Position reporting
    • Approve GL vs Bank balances [MT940]
    • Ensure forecasting is updated monthly [Local & Foreign)
    • Reconcile, submit and recovery intercompany interest
    • Reconciliation of Cash Pooling GL's to Intercompany loans (Payables and receivables)
    • Ensure monthly collection of intercompany interest 15th
      Loan and deposit register (Domestic)
    • Update Card utilisation and save statements
    • Quarterly HFM reporting

    STAFF MANAGEMENT

    • Annual Target Setting
    • Monthly one on one sessions
    • Half yearly AAI [Jointly with Forex Management]

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to CFAO on cfaocareers.talent-soft.com to apply

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