Job Summary
Job Description:
Lead the end-to-end month end-close, including journals, reconciliations, and close governance
Deliver accurate, timely IFRS-aligned reporting for internal stakeholders and Group Finance
Own core reconciliations (bank, crypto/wallets, settlements, clearing) and resolve breaks with ops teams
Strengthen and streamline finance processes, controls, and documentation across the group
Coordinate audit requirements, manage deliverables, and support Group reporting needs
Oversee treasury operations, cash flow visibility, working capital monitoring and liquidity forecasting
Manage banking/exchange relationships, including KYC, account setup, and ongoing compliance
Support multi-jurisdiction tax compliance by coordinating filings and inputs with external advisors
Own Accounts Payable and partner with People, Legal, Compliance, and Operations on cross-functional finance activities
Drive automation, tooling improvements, and financial insights to support expansion, new corridors, and strategic decision-making
Skills & Experience:
5+ years of experience in Finance with exposure to a fast-paced fintech, payments or crypto operation
Proven experience running month-end close
Exposure to treasury operations, working capital management and FX transactions
Comfortable working with large amounts of data
Interest in using tools like Power BI and SQL
Qualification:
Registered CA(SA)
Contact BRITNEY HATTINGH on 021 418 1750, quoting the Ref: CTF022243.
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