Internships
Hello Group: Treasury Internship opportunity for 2025
Job Highlights
Hello Group is recruiting graduates! Applications are now open for the Treasury Internship opportuniy for 2025.
Closing Date: 14 October 2024
Reference Number | RAS240930-2 |
Job Title | Treasury Intern |
Job Type | Full Time |
Experience Level | Entry Level |
Workplace Type | On-site |
Location: Centurion, Gauteng
The ideal candidate from entry level to a Junior Financial Accountant who has a strong basic Financial Accounting foundation, specifically towards the Treasury side.
We are looking for a strong motivated, cultural fit, who is not a clock watcher.
Requirements
- 0-2 years of Accounting experience.
- Experience in the relative posotion( Preferred)
- Completed Accounting Qualification. (Preferred).
- Commercial experience in a non-audit environment. (Preferred).
- Highly organized with excellent attention to detail.
- Excel and SAP experience. (Preferred)
Skills and Attributes
- Leadership
- Negotiation
- Problem-solving
- Communication skills
- Team player
- Analysis
- Interpersonal skills / Ability to manage relationships with key stakeholders
- Mathematical proficiency
- Attention to detail
- Ability to work under pressure.
- Ability to work independently.
- No clock watching
- Stong personality
Duties and Responsibilities
Responsibilities are, but not limited to the following in assisting to :
- Oversee day-to-day payments and forcast cash flow positions needs in the business.
- Ensure sufficiant funds are available to met ongoing operations and capital investments requiremnts.
- Maintain all domestic and international banking relationships.
- Maintain strong communication Channel with all the Financial service providers.
- Partner with the business to establish controls to ensure accurate and timely financial reporting.
- Ability to manage time and keep to deadlines.
- Manage reportee ’KPIs and deadlines.
- Compilation and analysis of buying and selling reports.
- Ability to profitably buy and sell foreign exchange contracts.
- Conduct recons on based deals booked with authorised dealers.
- Manage liquidity.
- Maintain the general ledger by processing all company invoices, payments, and purchases
- Review and verify the accuracy of financial and contract paperwork and processes..
- Daily, weekly, and monthly financial forecasting
- Investigate and recommend financial matters that affect the business.
How to Apply
Please APPLY HERE.
PLEASE DO NOT APPLY IF YOU DO NOT MEET THE RESPECTIVE REQUIRMENTS.
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