:
Maintain processes, procedures, and controls to ensure financial hygiene across the group
Oversee short-term cash flow planning, manage bank transactions, and approve executions
Lead long-term cash flow planning, treasury management, and liaise with banks on funding lines
Compile and review monthly internal financial reports
Manage the annual financial statement review and audit process
Oversee outsourced accounting functions, ensuring accuracy of work performed
Supervise outsourced group secretarial functions and manage related documentation and processes
Handle SARB exchange control reporting, applications, and liaise with authorized dealers
Execute and manage currency trades and offshore portfolio rebalancing
Consult with external advisors on tax, legal, exchange control, and accounting matters
Ensure proper insurance coverage for major assets
Manage relationships with external service providers, including onshore and offshore accounting, company secretarial, and trust administration firms, audit firms, banks, and brokers.Skills & Experience:
Minimum of 2 years post-article experience with SAIPA or CIMA qualification
Experience in financial services is highly beneficialQualification:
Completed BCom Management Accounting / Financial Accounting DegreeContact Refiloe Mofokeng on
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