Job Description
You will be responsible for ensuring robust internal controls, accurate revenue processing, treasury management, and effective cash flow forecasting. Leading a team, you will oversee reconciliations, reporting, risk management, and continuous process improvement within a complex, high-volume retail environment.
Key Responsibilities:
- Manage and control all revenue and treasury transactions across the group
- Ensure accurate recording, reconciliation, and reporting of all tenders and revenue streams
- Oversee cash flow forecasting, reporting, and performance against KPIs
- Manage relationships with banks, cash-in-transit providers, and external service partners
- Drive optimisation of banking structures, fees, and store financial costs
- Lead and develop a high-performing revenue and treasury team
- Ensure compliance, risk mitigation, and strong internal control frameworks
- Partner with finance systems and operational teams to improve processes and reporting
Requirements:
- BCom Honours (Accounting / Finance or similar)
- CA(SA) – preferred
- Minimum 5 years’ commercial management experience (post-articles)
- At least 2 years’ people management experience
- Retail experience highly advantageous
- Strong systems and process understanding (SAP exposure beneficial)
- Advanced Excel and strong presentation skills
- Proven ability to influence stakeholders and operate under pressure
- Strong commercial and analytical mindset
- Excellent leadership, communication, and stakeholder management skills
- High attention to detail with the ability to multi-task
- Resilient, solutions-driven, and outcomes focused
Apply now!
For more exciting Finance vacancies, please visit: .za
I also specialise in recruiting in the following:
– Group Finance
– Consolidations
If you haven’t heard back in two weeks, please consider your application unsuccessful. Your profile will be kept on our database for future opportunities.
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