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The Hello Group exists to create game-changing integrated consumer and business services for migrant and marginalised communities.
Our services are co-created to be low cost, easily accessible and amazingly simple to use with technology at the very core. By constantly evolving for consumers and resellers we maintain market leadership and entrench the Hello G...
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Educational Background:
- Bachelor’s degree in Finance, Economics, Accounting, Business Administration, or related field.
- CFA, CA, or other relevant professional certifications are a plus.
Technical Skills:
- Strong proficiency in financial modeling, valuation techniques, and data analysis tools (e.g., Excel, Bloomberg, FactSet).
- Knowledge of financial statements, accounting principles, and financial analysis.
- Familiarity with portfolio management software and tools is a plus.
Experience:
- 2-4 years of relevant experience in investment banking, private equity, asset management, or a related field.
- Experience in financial analysis, due diligence, and investment research.
- Exposure to portfolio management or investment strategy development is preferred.
Duties and Responsibilities
Investment Research & Analysis:
- Analyze financial statements, business models, and market trends to evaluate the performance and risk of existing and potential investments.
- Provide in-depth sector and industry analysis to inform investment decisions.
- Prepare detailed investment memos, financial models, and reports for internal and external stakeholders.
- Stay up-to-date with global economic, political, and market developments to support investment strategies.
Financial Modeling & Valuation:
- Build and maintain financial models, including Discounted Cash Flow (DCF), Comparable Company Analysis (CCA), and precedent transaction analysis.
- Perform valuation of investment opportunities to assess risk and return profiles.
- Develop scenario analysis to evaluate the financial impact of various investment strategies.
Due Diligence:
- Assist in the due diligence process for prospective investments, working with legal, operational, and financial teams to gather necessary data.
- Review contracts, financial records, and operational processes to assess investment risks.
- Conduct interviews with company management, industry experts, and key stakeholders to evaluate business viability.
Portfolio Management:
- Assist in monitoring and managing existing investments, ensuring they perform in line with the strategic goals and expectations.
- Track key performance indicators (KPIs) and recommend changes to optimize portfolio performance.
- Help prepare quarterly and annual investment reports for internal and external stakeholders.
Communication & Reporting:
- Prepare presentations, investment proposals, and reports for internal meetings, client reviews, and investment committees.
- Communicate complex financial information clearly and effectively to senior management.
Collaboration & Team Support:
- Work closely with senior investment team to support strategic decisions and projects.
- Collaborate with other departments (e.g., legal, compliance, operations) to ensure smooth execution of investment transactions.
- Participate in team discussions and brainstorming sessions to evaluate new investment strategies.
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Educational Background:
- Bachelor’s degree in Finance, Accounting, Business Administration, or related field.
- Professional certifications (e.g., CA, CFA) are a plus.
Experience:
- 5-7 years of experience in treasury or cash management within a Bank, Asset Manager, or similar profession.
- Proven experience in managing corporate liquidity, debt, and banking relationships.
- In-depth knowledge of treasury operations, financial markets, and risk management techniques.
Technical Skills:
- Strong proficiency in financial modelling, cash flow forecasting, and financial analysis.
- Experience with treasury management systems (TMS) and ERP systems (e.g., SAP.)
- Advanced Microsoft Excel skills; familiarity with data analysis tools and financial software.
Cash and Liquidity Management:
- Manage day-to-day cash positions and forecast cash flow requirements to ensure the business has adequate liquidity.
- Monitor cash balances and assess daily liquidity needs to maintain working capital.
- Optimize the use of company funds to ensure the most efficient usage of those funds.
Banking and Financial Institution Relations:
- Manage relationships with banks, financial institutions, and other service providers to ensure optimal services and terms.
- Oversee banking structures, including accounts, credit facilities, and payment processing systems.
- Negotiate banking fees, interest rates, and other terms with financial partners.
Debt Management:
- Oversee corporate debt facilities, including loans, lines of credit, and other borrowings.
- Ensure compliance with debt covenants and manage the timely repayment of borrowings.
- Assess capital structure and advise on optimal debt financing strategies.
- Participate in financing activities such as debt issuance or refinancing.
Treasury Operations and Policies:
- Develop and implement treasury policies, including cash management, foreign exchange, and risk management.
- Ensure adherence to internal control processes and audit requirements.
- Implement best practices for treasury operations and continuous improvement initiatives.
Investment and Risk Management:
- Manage the company’s short-term investment portfolio to optimize returns while managing risks.
- Assess financial risks, including interest rate, currency, and credit risks, and recommend hedging strategies when appropriate.
- Collaborate with other departments (e.g., finance, legal) to identify and mitigate financial risks.
Forecasting and Reporting:
- Prepare short- and long-term cash flow forecasts, liquidity projections, and financial models to support strategic decision-making.
- Provide regular reports to senior management and the finance team on cash positions, debt levels, and liquidity forecasts.
- Prepare and present treasury performance metrics, including returns on investments and cash management efficiency.
Treasury Systems and Technology:
- Evaluate and implement treasury management systems (TMS) and other software tools to improve operational efficiency.
- Monitor and ensure the accuracy of treasury data, including transaction processing and reconciliation activities.
- Work with IT and finance teams to automate treasury functions and integrate them into broader financial reporting systems.
Team Leadership and Development:
- Supervise and mentor treasury staff, providing guidance on treasury processes, systems, and best practices.
- Foster a culture of continuous learning and development within the treasury team.
- Ensure team members are adequately trained on internal policies, treasury systems, and financial regulations.
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Non-Negotiable Educational Requirements
- BSc Computer Science, BSc IT, BCom Informatics, BCom Information Systems, BCom Business Informatics, or a relevant degree.
Non-Negotiable Experience
- 4 years of software development experience.
- Proficiency in PHP, Laravel, Slim, Node, and TypeScript (advantageous).
- Experience coding in JavaScript, HTML, and CSS (advantageous).
- Experience in RESTful API development.
Preferred Experience
- 5 years of software development experience.
- Experience working with MySQL databases.
- Experience working in an agile team is advantageous.
Non-Negotiable Exposure to/Knowledge On
- Microsoft Visual Studio Code.
- Workbench, DBEaver, or related tools for MySQL database management (advantageous).
Preferred Exposure to/Knowledge On
- Postman Client or related tools (advantageous).
- Linux, Docker, IIS, Git/Bitbucket/TFS, JIRA (advantageous).
Key Responsibilities
Software Development:
- Design, develop, test, and maintain high-quality software solutions.
- Work on backend services, frontend applications, and integrate various APIs.
RESTful API Development:
- Create and maintain RESTful APIs to support internal and external integrations.
Database Management:
- Manage and optimize MySQL databases, ensuring data integrity and performance.
Agile Team Participation:
- Collaborate within an agile team, participating in sprints, stand-ups, and retrospectives.
- Contribute to continuous improvement practices within the team.
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Non-Negotiable Educational Requirements
- BCOM Accounting Qualification.
Non-Negotiable Experience
- 1 year of financial accounting experience.
Preferred Experience
- Completed Articles.
- Telecommunication experience is a plus.
- Logistics experience is a plus.
Non-Negotiable Exposure to/Knowledge On
- Proficiency in accounting software.
- Advanced Excel skills.
Preferred Exposure to/Knowledge On
- Experience in distribution and logistics.
Duties and Responsibilities
Financial Accounting:
- Assist in preparing financial statements and reports.
- Conduct reconciliations of accounts and resolve discrepancies.
- Support month-end and year-end close processes.
Accounting Software:
- Utilize accounting software for accurate data entry and financial reporting.
- Ensure all transactions are recorded in compliance with company policies and relevant regulations.
Excel & Data Analysis:
- Use advanced Excel skills to manage and analyze financial data.
- Prepare reports and dashboards for management review.
Inventory & Digital Wallets:
- Maintain and monitor inventory records, ensuring accuracy and compliance.
- Assist in managing digital wallet transactions and reconciliations.
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EDUCATION AND EXPERIENCE
- Tertiary qualification in Business Administration, IT, or a related field
- Professional certifications related to payment systems or operations are a plus
- 1-3 years of experience in an operations support or customer service role, ideally within a payments, fintech, or financial services environment
- Familiarity with card payment systems, payment gateways, transaction processing, and payout processes
Duties and Responsibilities
Payments System Support:
- Monitor and manage card payment processing systems to ensure continuous, error-free transactions.
- Troubleshoot payment processing issues and escalate to appropriate teams when necessary.
- Work with payment gateways, processors, and financial institutions to resolve discrepancies or failures in payment systems.
Monitoring:
- Track, verify, and report daily transaction volumes and discrepancies.
- Monitor fraud detection systems and assist in mitigating potential fraud-related issues.
- Oversee and track merchant payouts, ensuring accurate and timely disbursements.
- Monitor the status of payout transactions to ensure they are processed according to the agreed timelines.
- Investigate and resolve any issues related to payout delays or discrepancies.
- Assist in ensuring compliance with relevant payment security standards and regulations.
Operational Process Improvement:
- Identify and recommend improvements to operational workflows and processes.
- Assist in implementing new operational procedures to enhance efficiency and accuracy.
- Collaborate with various teams to develop and refine internal processes related to payment solutions.
System and Software Management:
- Provide day-to-day support for internal tools and software related to payment processing and operations.
- Assist in software updates and ensure that all systems are running smoothly with minimal downtime.
- Help with the integration and testing of new systems or software updates related to payment solutions.
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EXPERIENCE AND EDUCATIONAL BACKGROUND:
- Bachelor of Laws (LLB) from a recognised university;
- Admitted as an Attorney/Advocate/Legal Practitioner (South Africa);
- Minimum of 5 years of post-admission experience in a legal advisory role;
- Extensive experience in drafting and reviewing a variety of contracts is essential to this position. Role has a large focus on agreements in foreign jurisdictions;
- Knowledge of local and international AML/CFT/KYC and FATF, preferable but not essential;
- Experience in Fintech, Financial Services or Remittance industry, preferable but not essential.
Duties and Responsibilities
Junior In-house Legal Counsel / Junior Legal Advisor
- Draft and review International Remittance/Money Transfer Agreements;
- Highlight the legal risks, and present mitigating factors concerning the identified risk(s) to relevant business units;
- Assist with the AML/CFT due diligence process;
- Assist with the onboarding of third-party service providers globally;
- Attend to all ad hoc legal matters affecting the remittance business and other business within the group;
- Draft legal letters for the group and draft ad hoc legal agreements (nationally and internationally);
- Assist in drafting and reviewing group policy documents;
- Draft, and review, various commercial legal agreements applicable to the group;
- Advise the group on general legal matters and stay up to date with legal/regulatory changes that have an impact on your business unit;
- Review and develop the group’s current legal processes;
- Meet predetermined targets and timelines as set by the Head of the Department in respect of the above from time to time;
- Refer matters to an external legal counsel should it be required and approved by the Legal Manager;
- Draft legal opinions; and Contract negotiations with third parties.
Regulatory Compliance
- Advise on the influence of legislation applicable to the different group divisions and their clients but with a primary focus on the remittance business;
- Provide oral and written legal opinion reports on research conducted as well as on various aspects of foreign and domestic law;
- Interpret contracts, legislation, and regulations;
- Compile regulatory compliance processes to assist the group in complying with regulatory obligations;
- Ad hoc regulatory compliance duties; and
- Meet predetermined targets and timelines as set by the Legal Manager in respect of the above from time to time.
General Legal Advisor Responsibilities - Legal Services
- Provide legal assistance under the umbrella of shared services to the group;
- Liaise with various divisions of the group as well as with external stakeholders regarding all legal matters; and
- Meet predetermined targets and timelines as set by the Head of the Department in respect of the above from time to time.
Legal and Compliance Administration
- Maintain legal agreement templates, including, but not limited to; non-disclosure agreements, Remittances / Money Transfer Agreements and other agreements;
- Ensure that the group is equipped with all the necessary resources and tools to fulfil all legal and compliance tasks; and
- Meet predetermined targets and timelines as set by the Head of the Department in respect of the above from time to time
Method of Application
Use the link(s) below to apply on company website.
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