What This Role Does
This role manages treasury operations and tax matters, including daily cash flow monitoring, banking coordination, investment documentation, and handling tax notices. It ensures regulatory compliance, timely reconciliations, and accurate financial record-keeping.
Qualifications & Experience
ACCA Qualified, ACMA, or CA Finalist (maximum 3 papers remaining)
3–5 years of experience in finance, accounting, or treasury functions
Strong understanding of accounting principles, budgeting, and financial analysis
Proficiency in accounting software (QuickBooks, Xero, etc.)
Strong communication skills with the ability to work independently and in teams