We are seeking a highly skilled and motivated Controller – Treasury to oversee and strengthen our company’s treasury operations. This role is pivotal in managing cash and liquidity, optimizing banking relationships, and supporting the development of funding, hedging, and financing strategies to mitigate financial risks. The ideal candidate will bring strong expertise in treasury management, risk mitigation, and financial strategy, while also contributing to team development and succession planning. You will play a key role in ensuring the company’s financial resilience, compliance, and long‑term capital planning.
Requirements:
- Bachelor’s degree in Accounting, Finance, or Treasury Management only
- Minimum of 7 years of working experience
- Strong knowledge and skills in:
- Oracle Fusion ERP
- Treasury management
- Financial instruments
- Analytical and forecasting capabilities
- Strategic mindset
Qualified candidates are required to submit their application via the Centralised Recruitment System by Friday, 3rd July 2026.
Only shortlisted candidates will be contacted for an interview.