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Head of Treasury

Job in Cape Town, 7100, South Africa
Listing for: DigiOutsource
Full Time position
Listed on 2026-02-21
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance, Risk Manager/Analyst
  • Management
    Financial Manager, Risk Manager/Analyst
Job Description & How to Apply Below
Position: Head of Treasury: Africa

Kick-start your career in the online gaming world and experience the very latest in technology and innovation. Who We Are

We’re Super Group, the NYSE-listed digital gaming company behind some of the world’s leading Sports and iGaming brands, including Betway and Jackpot City.

We’re a powerhouse built on decades of expertise across 16 countries – and with over 3,000 bright minds, we’re changing the game for good. Our mission is to give our customers a superclass entertainment experience.

Who We’re Looking For

We’re on a thrilling journey of growth and innovation, and we need passionate, driven individuals to join us. At Super Group, every day is action-packed, and we expect you to bring your A-game. In return, you’ll find a supportive environment where your skills can flourish and your career can soar.

Ready to become a game-changer? Supercharge your career with us and be part of something extraordinary.

Why we need you

We’re on a mission to create extraordinary experiences for our customers, and we believe that your unique skills, passion and superdrive will help us achieve our vision.

As the Head of Treasury:
Africa

As the Head of Treasury:
Africa, you’ll be responsible for managing the day-to-day operational activities of the Treasury department, overseeing cash flow management, funding, risk management, debt management, forex trading, treasury operations and financial planning across the company’s Africa operations. This will help us ensure the efficient use of the company’s financial resources, optimize liquidity and managing financial risks to stay ahead of the game.

What

You’ll Be Doing Cash And Liquidity Management
  • Oversee and manage Africa cash positioning and short to medium term liquidity for the group.
  • Ensure sufficient liquidity to meet day-to-day operational and financial obligations of the Africa business.
  • Manage investment activities relating to excess cash positions across the Africa businesses.
  • Manage general banking facilities across the Africa business.
  • Coordinate the optimization of cash across multiple business units and geographies.
  • Manage crypto exposure and volatility.
Banking Relationships & Account Management
  • Manage relationships with banking partners and financial institutions.
  • Oversee the opening, closing, and maintenance of bank accounts globally.
  • Negotiate banking services and fees to ensure competitive terms and conditions.
  • Manage banking products and services across the Africa business.
Treasury Operations And Processes
  • Manage the execution of treasury operations including payments, funding, investments and cash flow reporting.
  • Ensure compliance with internal policies and procedures in treasury operations.
  • Develop and implement best practices for treasury functions, ensuring efficiency and accuracy in transactions.
  • Drive the implementation of treasury management systems (TMS) or improve existing platforms to enhance operational effectiveness.
  • Ensure effectiveness across systems, teams and functions.
Compliance And Regulatory Oversight
  • Ensure that the treasury function complies with internal policies, financial regulations, and external compliance requirements (e.g., IFRS, Sarbanes‑Oxley, SARB, Central banks).
  • Liaise with internal auditors, external auditors, and regulatory bodies as and when needed.
  • Ensure accurate and timeous covenant compliance reporting on local debt structures.
  • Stay up to date with financial regulations, legislative changes and accounting standards that impact treasury operations.
Financial Planning And Analysis
  • Assist with providing timely and accurate treasury reports to senior management, highlighting key performance metrics, variances, risks, and opportunities.
  • Analyse cash flow, liquidity, and funding trends to provide insights and recommend improvements.
  • Assist in the preparation of budgets, forecasts and financial planning.
  • Quarterly reporting of cash positions, processor data and cost analysis.
Risk Management
  • Collaborate with senior management to establish and monitor risk management policies and strategies.
  • Identifying and mitigating financial risks (FX, interest rates, commodities).
  • Execution of forex trading and derivative structures as per group policies.
Team…
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