Group Reporting & Finance Manager

at  Ten Group

Cape Town, Western Cape, South Africa -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate06 Sep, 2024Not Specified07 Jun, 20245 year(s) or aboveAutomation,Adherence,Interpersonal Skills,Excel,Financial Statements,Treasury Management,Teamwork,Powerpoint,Financial SystemsNoNo
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Description:

OVERVIEW

As the Group Reporting & Treasury Manager, you will play a critical role in managing the Group’s cash flow, ensuring subsidiaries are appropriately funded, and overseeing the Accounts Payable team. You will be responsible for accurate cash flow forecasting, analytical reviews, and maintaining consistent payment runs aligned with forecasted cash flows. Additionally, you will prepare the Group’s Annual Report and assist in both Group and Subsidiary audits, contributing to the development of new internal reports to support the Head of Finance in partnering with external stakeholders.
You will ensure a strong control environment through regular reviews and ensure compliance with all statutory and government requirements. This includes managing tax relationships and ensuring timely filing of all tax-related obligations. As a finance leader, you will develop internal training materials, manage the treasury team’s development, and collaborate closely with the Head of Finance to resolve issues promptly.
The ideal candidate will have a qualified accounting background with significant post-qualification experience, particularly in cash flow management, audits, and financial statement preparation. Strong knowledge of IFRS/IAS reporting standards, experience managing a team are essential. You should possess strong managerial skills, a passion for automation, and excellent communication and collaboration abilities. An analytical mind with attention to detail and a control-oriented mindset is crucial for success in this fast-paced environment.

SKILLS & QUALIFICATIONS:

  • Qualified accounting qualification - 5 years PQE.

EXPERIENCE:

  • Experience managing cash flow forecasts and payment processes.
  • Experience managing audits under an IFRS framework as well as the preparation of financial statements.
  • Clear knowledge of IFRS/IAS reporting standards.
  • Experience managing a team, ideally in a financial reporting role.
  • Able to demonstrate a clear understanding of control environments and best practice financial controls.
  • Experience with tax filings and treasury management.
  • Highly proficient in Excel, Word, and PowerPoint.
  • Knowledge of financial systems, Microsoft Dynamics Business Central, Planful & Adra, beneficial but not essential.

Responsibilities:


REQUIREMENT SUMMARY

Min:5.0Max:10.0 year(s)

Accounting

Accounts / Finance / Tax / CS / Audit

Accounts Management

Graduate

Proficient

1

Cape Town, Western Cape, South Africa