Job Description
Are you a newly qualified finance professional eager to gain exposure to treasury cross-border transactions and project finance while managing the core financial operations of a growing investment group This role offers the chance to step into a key position supporting the Group Finance function while learning first-hand how treasury and corporate finance decisions are made.
Why join the team
- Be part of a fast-growing investment and asset management group expanding across Africa
- Unique exposure to both corporate finance and treasury operations within a high-performing business
- Gain valuable experience in managing funding flows foreign exchange and cross-border reporting
What you will be doing :
Manage day-to-day financial operations including payments salaries invoicing reconciliations and supplier oversightPrepare monthly management accounts and group consolidations for review by senior managementBring outsourced accounting for certain entities in-house ensuring accuracy and efficiencySupport the treasury function by :Monitoring funding inflows and outflows across multiple entitiesAssisting with cash flow forecasting liquidity planning and repayment trackingPreparing treasury dashboards and management reports for decision-makingEnsuring compliance with loan covenants treasury policies and foreign currency regulationsConsolidate and analyse financial data from multiple projects to assess performanceAssist with audits tax compliance and regulatory submissions across different jurisdictionsWhat we are looking for :
Newly qualified CA(SA) or equivalent ideally with 12 years post-articles experienceStrong technical accounting skills with a keen interest in treasury and cross-border financeDetail-oriented organised and methodical with strong analytical capabilitiesAbility to work independently on confidential matters while also contributing to team deliverablesExcellent communication skills for liaising with senior leadership banks and external stakeholdersKnowledge of Xero Draftworks or similar accounting software advantageous.Prior exposure to treasury fund accounting project finance or African cross-border funding would be highly beneficialBenefits and unique aspects :
Mentorship from senior finance leaders with exposure to strategic treasury decision-makingHands-on experience with funding allocations foreign currency transactions and investor reportingOpportunity to transition into a senior finance or treasury-focused role as the group expandsCollaborative and entrepreneurial environment with scope to shape processes as the company growsLong-term career progression within a group that values development and internal growthIf you havent heard back from us within two weeks of submitting your application unfortunately your application has not been successful this time. Wed still love to stay connected follow us online and keep an eye out for future opportunities that match your profile.
Required Experience :
IC
Key Skills
Cognos,Forecasting,Hyperion,Microsoft Access,Pivot tables,Accounting,Analysis Skills,Microsoft Excel,Financial Analysis,Financial Modeling,Budgeting,Financial Planning
Employment Type : Contract
Experience : years
Vacancy : 1