Global Treasury & Cash Management Analyst
Zepz
Cape Town City Centre · South Africa
- Level
- Mid-level
- On site or Remote
- Remote
- Posted
- 19h ago
About this role
Join Zepz as a Cash Management Analyst to manage day-to-day liquidity and banking operations across EMEA, APAC, and LATAM. You will optimize cash positions, handle FX requirements, and maintain banking relationships, acting as the bridge between internal teams and external partners. The role emphasizes accurate cash movement, regulatory compliance, and opportunities to automate processes using Kyriba and related tools. J-18808-Ljbffr
This is a summary. The employer's full description, including requirements and benefits, is on their own listing.
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Posted 11 October 2026 · Expires 10 November 2026