Company:
Tiger Brands
Industry: Manufacturing / Production / FMCG
Deadline: Jan 2, 2026
Job Type: Full Time
Experience: 25 years
Location: Gauteng
Province:
Field: Finance / Accounting / Audit
- The Group Treasurer is responsible to play both a strategic and operational role in the management of Financial Assets and Liabilities, Liquidity Risk, Foreign Exchange Risk, Commodity Risk within the regulatory and control environment to generate value added solutions for the Tiger Brands group by Group Treasury as the in-house banker.
WHAT YOU WILL DO:
- Problem solving/Trouble solving
- Able to manage sensitive financial data (confidentiality and integrity)
- High levels of accuracy
- Organised and structure
- Ability to multi-task and prioritise
- Attention to detail very important
- Keep current with financial regulations and accepted practices
- Financial acumen and understanding
- Hard working and focused on meeting deadlines
- Selfāmotivated, focussed and driven
- Strong verbal and written communication skills
- Interpersonal Skills
Team Player
- Strong facilitation, commercial negotiation, influencing and communication skills and leadership abilities both inside and outside the organization
- Change management and conflict management skills
- Excellent presentation skills.
- Business acumen with a flair for economic analysis, with a strong understanding of global politics and the impacts on exchange rates.
- Excellent financial modelling skills, particularly in demonstrating the benefits of using various complex financial instruments.
- Risk management of the total treasury function
- Strategic understanding of the issues and developing the necessary project approach to address these areas
- Excellent knowledge of the local and international foreign exchange and commodity markets
Professionalism
- Innovative with a knowledge of banking, treasury, financial and ERP systems
- Ability to handle high levels of pressure and critical decision-making.
- High integrity and openness combined with commitment to good governance.
- Energetic, highly motivated, with an enquiring mind and passion for excellence and innovation in pursuit of business growth and success.
WHAT YOU WILL BRING TO THE TABLE:
- 25 years in a corporate treasury role
- Experience in liquidity risk management, borrowing and investment instruments
- Experience in supply chain finance
- Experience in foreign exchange risk management and instruments
- Experience in intercompany treasury transactions and accounting thereof
- Preferred experience in establishing a centralised treasury as an in-house banker
- Bachelorās Degree in Finance
- Post graduate relevant degree
- Solid work experience in treasury required
- Excel ā modelling capability
- PowerPoint ā presentation capability
- Experience in banking cash online systems
- Experience in ERP systems
WHAT YOU WILL BE MEASURED ON:
- Accurate and timely deliverables
- Effectiveness of treasury function
- Customer satisfaction
- Treasury controls, policies and compliance thereto
- Performance KPIās relevant to the underlying risk or activity
- Impact of working capital optimisation measures initiated by Treasury
- Understanding of the business
- Treasury strategic objectives
- Contribution in improved processes
- Innovation
End Date: December 4, 2025
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