Treasury Operations Manager
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Key skills for this role
About the Role
Purpose of the job ETG is seeking a highly analytical and systems-driven Treasury professional to design, implement and optimize a global cash pooling and liquidity structure ac.
Key Skills for This Role
Full Job Posting
Overview
Purpose of the job
ETG is seeking a highly analytical and systems-driven Treasury professional to design, implement and optimize a global cash pooling and liquidity structure across the Group.
This role goes beyond traditional treasury operations it is focused on building centralized and predictable global cash flow overview, enhancing cash visibility, automating treasury processes, and optimizing funding across commodity trading verticals.
Key areas of responsibility
1. Global Cash Pool & Liquidity Optimization
Design and implement a global cash pooling structure (physical / notional pooling across jurisdictions).
Centralize Group liquidity and optimize utilization of surplus/deficit balances.
Build and maintain a weekly, 3-month and 12-month rolling consolidated Group cash flow forecast.
Reduce idle cash, optimize overdrafts, minimize external borrowing.
Develop real-time cash visibility dashboards across all verticals.
Drive intercompany funding optimization framework.
2. Treasury Systems & Automation
Lead TMS operations implementation and enhancement across ETG.
Build automated reporting dashboards (Power BI / Python / SQL or similar).
Develop tools for:
Cash forecasting automation
Facility utilizations tracking
Loan exposure reconciliation
Bank charge validation
Drive ERPBank–TMS integration.
Reduce manual treasury processes through systemization.
3. Trade Finance & Commodity Funding
Liaise daily with trade desks to understand commodity financing needs.
Execute and monitor:
Bank Guarantees
Structured trade finance
Drawdowns and settlements
Track facility utilizations and loan settlements.
Ensure compliance with facility documentation and UCP600.
Monitor transaction-level financing across commodity trades.
4. Cash Operations & Governance
Oversee daily liquidity positioning.
Manage intercompany fund flows.
Weekly reconciliation of:
ERP vs Bank statements
Treasury loan files vs Bank reports
Monitor interest charges and ensure accuracy.
5. Projects to Be Delivered (Priority Focus)
(Co-) Establish global cash pooling framework across ETG.
Lead transformation of treasury operating model thru TMS operation – from manual multi-sourced to automated & unified data operation (with focus of vertical compatibility)
Implement live global liquidity dashboard (incl. week, 3/12 month for casting ability)
Automate trade finance tracking, ultimately with TF platform connectivity.
Optimize borrowing costs through centralized funding strategy.
Develop data-driven treasury decision tools.
(Deep) trade finance expertise
Commodity trading experience
Strong systems orientation
Programming/coding capability
Passion for automation and data
Qariba Preferred As Tms
V Required know-how/ experience
5–10 years in Treasury within commodity trading / agri / metals / energy.
Proven experience structuring trade finance facilities.
Experience implementing or enhancing TMS systems.
Exposure to multi-jurisdiction liquidity structures.
Loves working with systems and data.
Strategic but execution focused.
High ownership mindset.
Strong stakeholder engagement across global teams.
High integrity and confidentiality.
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