Job Description

Key Responsibilities: FOREX & Treasury Management: You will take the lead on managing foreign exchange transactions and overseeing FEC (Forward Exchange Contract) positions to mitigate financial risk. Operational Banking: You will be responsible for daily cash flow planning, as well as the loading and approval of payments on the banking platform to ensure seamless liquidity. Financial Reporting & Month-End: You will execute comprehensive month-end procedures and prepare detailed management statements to support executive decision-making. Tax Compliance: You will manage and ensure compliance for VAT, Income Tax, Provisional Tax, Dividend Tax, and Payroll Tax reporting. Audit Coordination: You will coordinate the external audit process, managing requests and queries to ensure timely sign-off for both quarterly bank audits and the annual audit. HR & Management Support: You will provide support with HR-related administrative functions and assist management with ad-hoc strategic tasks. Requ...

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