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Treasury Analyst

HFM
Posted 3 days ago, valid for 12 days
Salary

Competitive

Contract type

Full Time

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Sonic Summary

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  • HFM, a leading multi-asset broker, is looking for a Treasury Analyst to join their expanding team.
  • The role involves monitoring cash positions, managing cash-flow forecasts, preparing payments, and ensuring compliance with financial controls.
  • Candidates must have a diploma or degree in Accounting, Finance, or a related field, along with a minimum of 1 year of relevant experience.
  • The position offers a competitive salary and benefits including 22 days of annual leave, medical scheme participation, and various recognition awards.
  • All applicants must submit their resumes in English and be eligible to work in the country where the position is based.
HFM is an internationally acclaimed multi-asset broker, delivering cutting-edge trading tools, platforms, and conditions to traders worldwide. We are committed to innovation, transparency, and excellence in the financial markets. 

As we continue to expand, we are seeking a driven and strategic Treasury Analyst to join our team.

Responsibilities:

Treasury

  • Monitor daily bank balances and prepare cash-position reports.
  • Maintain short- and medium-term cash-flow forecasts.
  • Prepare supplier, salary, tax, and other payments for approval.
  • Ensure payments are supported by appropriate documentation and authorisation.
  • Perform bank reconciliations and promptly investigate discrepancies.
  • Maintain accurate records of banking transactions, facilities, loans, deposits, and related charges.
  • Coordinate with banks regarding transfers, account administration, foreign-exchange transactions, and banking queries.
  • Monitor upcoming financial obligations to ensure sufficient funds are available.
  • Assist with the management of working capital and foreign-currency exposure.
  • Prepare treasury schedules and reports for management and auditors.
  • Maintain effective controls over online banking access and payment processes.
  • Supporting documentation when required.
Controls and Compliance
  • Follow the company’s approval limits and segregation-of-duties procedures.
  • Ensure the person preparing payments does not independently approve or release them.
  • Maintain complete and organised records for all treasury transactions.
  • Support internal and external audits.
  • Identify process weaknesses and recommend practical improvements.



Requirements

  • Diploma or degree in Accounting, Finance, Business Administration, or a related field.
  • Minimum 1 year of relevant experience in treasury, accounting, or a similar finance role.
  • Experience using accounting and online banking systems.
  • Strong proficiency in Microsoft Excel, including formulas, reconciliations, and data analysis.
  • Strong numerical and analytical skills.
  • Excellent attention to detail and accuracy.
  • High level of integrity, discretion, and confidentiality.
  • Good organisational and time-management skills.
  • Ability to meet strict payroll and payment deadlines.
  • Strong problem-solving and reconciliation skills.
  • Clear written and verbal communication.
  • Ability to work independently and collaborate with Finance, banks, and other stakeholders.
  • Ability to manage several priorities in a deadline-driven environment.
Resumes must be submitted in English.
Applicants must be eligible or have legal authorization to work in the country where the position is based.

Benefits

  • 22 days of Annual Leave (reaching up to 30 days per year based on years’ service)
  • Birthday Leave
  • Long-Service Recognition Awards
  • Participation in the Company’s Medical Scheme from day one (Eagle Mauritius)
  • Birthday celebrations
  • Monthly lunches
  • Wedding & Maternity gift
  • Summer Short Fridays (December)
Sounds like you? Let’s write the next chapter together!

All Applications will be handled with the strictest confidentiality.




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