If you're a hustler who is interested in utilizing your skills and competencies while having some fun doing something you love then you’ve found your perfect fit!

G’nk is a diverse company working in entertainment and hospitality offering a challenging and extraordinary working environment!

AVAILABLE POSITIONS:

To apply, please send your CV to Careers@gnk.group


TREASURY MANAGER

Job summary:

The Treasury role is responsible for managing the company’s cash flow, banking relationships, financial planning, and reporting to ensure optimal liquidity, financial efficiency, and compliance with internal controls and policies.

Duties & Responsibilities will include but will not be limited to:  

    •    Monitoring daily cash balances and forecasts to ensure sufficient liquidity for operations and growth.

    •    Optimizing working capital and managing intercompany cash movements.

    •    Overseeing company banking relationships and ensuring efficient banking operations.

    •    Managing payment cycles, including timely disbursements to suppliers and payroll.

    •    Coordinating the opening and closing of bank accounts and maintaining account structures.

    •    Assisting in budgeting, forecasting, and variance analysis related to cash and financing needs.

    •    Establishing and enforcing treasury policies, procedures, and internal controls.

    •    Supporting audit and compliance activities related to treasury operations.

    •    Preparing regular cash flow reports, treasury dashboards, and financial summaries for management.

    •    Analyzing financial data to identify trends and recommending improvements.

    •    Providing insights on cost-saving measures and fund optimization opportunities.