| Job Description |
- Management of finance projects
- Responsible for all company secretarial functions of the holding company and subsidiaries
- Ensure corporate governance issues adhered to
- Responsible for the entire Treasury function which includes the management of cash flow, directly or indirectly, banking relationships and Regional Treasury Centre relationship and reporting.
- Cost cutting initiatives
- Implement and maintain company GAAP, US GAAP and IFRS controls
- Manage monthly accounting closing including division closing and management of closing deadlines, targets and reporting.
- Performing tax planning and providing tax advice and reduce tax risk on a company and group level including VAT, PAYE, SDL, UIF, CIT, TP, Customs and Ad Valorum Tax.
- Management of internal and external audit function and reporting
- Responsible for policy and documentation design and maintenance
- Global coordination and alignment
- Assisting top management in designing and implementing adequate systems of control and accessing current systems for weakness
- Maintain an education programme to continually develop skills
- Keep track with trends affecting business both locally and internationally
- Ensuring compliance with applicable laws and procedures
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