Job Description: As a rapidly growing and forward-thinking company, we're seeking a talented individual who is passionate about sustainability, logistics, and innovation to join as a Financial Manager: Treasury within our passionate, high-performing team in Durban. Job Responsibilities: Develop and implement risk management strategies to mitigate potential exposures. Monitor daily cash balances and manage cash flow effectively to meet operational requirements. Recommend strategies to optimize the utilization of cash resources. Manage banking relationships and negotiate terms with financial institutions. Develop cash flow forecasts to ensure liquidity and manage working capital efficiently. Maintain and monitor insurance policies related to financial risks. Identify and assess financial risks, including interest rate and currency risks. Job Requirements: Proven experience in treasury management, financial analysis, and risk management. Familiarity with South African financial regulations and compliance requirements. Excellent interpersonal, communication, and negotiation skills. Strong analytical, financial modelling, and problem-solving skills. CA(SA) with 3 to 5 years post articles experience Professional certification such as Certified Treasury Professional (CTP) is preferred.