External Job Title: Group Treasurer
Context/Scope
EABL group companies comprises: Kenya Breweries Ltd (Kenya), Uganda Breweries Ltd (Uganda) Central Glass Industries Ltd, Kenya Malting’s Ltd, UDV Kenya Ltd, IDU Ltd ,Serengeti Breweries Ltd , EABL Group, and EABL International.
EABL group activities involve extensive and high value cash transactions in the region dominated in various currencies with Kenya Shilling, Uganda Shilling, US$, GBP, Euro, South African Rand and Tanzania shilling forming the core portfolio of currencies.
The Treasury Function primary responsibility of managing and providing advice on all factors affecting Group cash flows, various financial investment/funding decisions and currency risks associated with the day-to-day running of Group business activities.
Purpose of the Role:
- Provide
technical advice and support on all treasury related issues to EABL
Group companies for both continuing and any new business
developments/ acquisitions/disposals.
- Manage
group cash to maximize return on asset-cash and minimize group
funding costs Manage EABL Group cash portfolio to ensure appropriate
group currency mix in line with group currency requirements and
prevailing world economic trends
- Manage
EABL Group foreign exchange exposure and other financial risks to
acceptable risk limits. Ensure high-level safety of all EABL cash
surpluses held with various financial institutions.
- Ensure
timely, cost-effective and adequate funding of all group-financing
requirements.
- Keep
abreast of legal developments as published by Central Bank of
Kenya/Uganda/Tanzania, Capital Markets Authority, Nairobi,
Dar-es-salaam and Kampala stock exchanges and other regulatory
bodies to ensure compliance with various statutes
- Perform
all treasury dealing with banks on borrowing, investments, hedging
and purchase of FX
- Keep
abreast on all developments in banking industry to enable EABL group
tap most updated banking products and technology.
- To
manage EABL Group Banking relationship with its Group bankers.
- Manage
inter-company settlement payments and processes
- Liaise
with various financial institutions, and other EABL group offices
for efficient management of various staff schemes.
- Review
outstanding Guarantees and Bonds to ensure compliance with Group
policy and avoid excessive financial exposure created by such
instruments
- Involvement
EABL strategic planning process
- Provide
Treasury support services to SSC team
- Keep
abreast on factors affecting EABL pricing /bank relationships in the
market
- Cash
Management
- Business
Financing
- Investment
of surplus cash
- Management
of Group Bank Relationships
- Foreign
Exchange Dealing
- Foreign
Exchange Risk Management
- Treasury
Reporting
- Capital
Structure and Funding Policy
- Business
Development and Strategy
- Business
related degree
- A
fully qualified accountant; i.e. CPA (K), ACCA or equivalent
- At
least 5 years working experience in Treasury Operations
- Sound
grounding on aspects of treasury and corporate finance management,
e.g. key drivers of interest rates, foreign currency trade, hedging
etc.
- Excellent
stakeholder engagement skills.
- Excellent
interpersonal and communication skills
To apply log on to http://www.diageo-careers.com/en-row/searchandapply/Pages/SearchOpenings.aspx?u=http%3A%2F%2Fjobs.brassring.com%2Ftgwebhost%2Fjobdetails.aspx%3Fpartnerid%3D11729%26siteid%3D208%26jobid%3D2306438
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