CA(SA) 45yrs in COMMERCE & must have GLOBAL FINANCE EXP R 1 MILLION pa HYBRID & N.SUBURBS
TOP services company in the sought after Northern Suburbs of Cape Town has an outstanding opportunity available for an experienced Chartered Accountant with exposure to the international landscape.
This is a key component of the role as it requires navigating the complexities of global finance and business environments.
BENEFITS:
- Highly competitive salary package
- Hybrid (work from home & a few days in office)
- Be part of a tight knit dynamic team
- Diverse and inclusive culture
Requirements
- Registered CA(SA) with 45 years post articles commercial experience
- Must have international / global finance exposure
- Sage Evolution advantageous
- Experience with Witholding Tax Deferred Tax Assets and transfer pricing
ROLE DUTIES:
Prepare detailed monthly management reports to provide insights into group performance and financial health.
Oversee and review accounting records across the group for accuracy and compliance.
Manage annual consolidations group financial reporting and audits.
Coordinate with tax specialists to effectively manage local income tax VAT and other taxes across the group.
Manage group treasury operations including cash management and strategic resource allocation.
Develop and enhance internal control systems to ensure financial reporting integrity and mitigate risks.
Lead groupwide risk management activities to identify and mitigate financial risks.
Conduct financial analysis and modelling to provide actionable insights for strategic decisions.
Support various teams across the organisation by providing guidance and assistance.
Benefits
- Highly competitive salary package
- Hybrid (work from home & a few days in office)
- Be part of a tight knit dynamic team
- Diverse and inclusive culture
CA(SA) & 4-5 years commercial and global finance experience RESPONSIBILITIES: Prepare detailed monthly management reports to provide insights into group performance and financial health. Oversee and review accounting records across the group for accuracy and compliance. Manage annual consolidations, group financial reporting and audits. Coordinate with tax specialists to effectively manage local income tax, VAT, and other taxes across the group. Manage group treasury operations, including cash management and strategic resource allocation. Develop and enhance internal control systems to ensure financial reporting integrity and mitigate risks. Lead group-wide risk management activities to identify and mitigate financial risks. Conduct financial analysis and modelling to provide actionable insights for strategic decisions. Support various teams across the organisation by providing guidance and assistance.