Job Description:
You, the successful candidate, will be responsible, yet not limited to the following duties:
Acquire an in-depth knowledge of the broader business environment.
Envision, plan, and execute financial projects with precision.
Improve and document the financial control systems.
Create comprehensive cash flow forecasting models.
Supervise the management of liquidity for the whole organization.
Effectively manage foreign exchange risk.
Maintain active communication with lenders, offering covenant and business case reports.
Analyze and evaluate legal contracts.
Direct corporate finance strategies and tax structuring activities.
Skills & Experience:
Minimum of 10 years experience in similar roles
Retail industry / startups experience is highly advantageous
Qualification:
CA(SA) / CIMA / AGA / ACCA
If you would like to be considered, please apply directly.
We appreciate your interest, however if you have not had any response within 2 weeks, please consider your application unsuccessful.