Description:
Key Responsibilities:
- Financial Reporting & Control: Manage month-end close, financial statements, and IFRS compliance
- Cash Flow & Treasury: Oversee cash flow forecasting and working capital optimization
- Tax & Compliance: Ensure adherence to tax regulations (VAT, income tax, payroll taxes)
- Business Partnering: Analyze financial performance and advise on contracts/transactions
- Process Improvement: Identify and implement enhancements to financial operations
Qualifications:
- CA(SA) with 5+ years in financial management
- Proven experience in multinational financial consolidation and reporting
Apply Now!
28 Mar 2025;
from:
gumtree.co.za