TAX & TREASURY MANAGER
WORK GLOBAL CAREERS LIMITED
Accounting, Auditing & Finance
Job Summary
The Tax & Treasury Manager will oversee tax reporting, compliance, planning, advisory, and treasury operations. The role ensures that the company’s tax and treasury policies, processes, and procedures comply with legal, tax codes, and company policies.
- Minimum Qualification : Bachelors
- Experience Level : Senior level
- Experience Length : 10 years
Job Description/Requirements
Job Opportunity: Tax & Treasury Manager
Location: Nairobi, Kenya
Job Type: Full-time
Industry: Manufacturing
Salary: Ksh. 350,000
Key Responsibilities:
Tax Compliance & Planning:
Drive tax compliance and planning for all tax heads (Income Tax, Withholding Taxes, VAT, Excise Duty, Payroll & Customs).
Review tax returns for each obligation and provide advice on company-specific transactions, including contracts, highlighting tax exposure areas.
Supervise duty remission programs to optimize tax benefits.
Tax Reporting:
Prepare current and deferred tax calculations and analyze the effective tax rate.
Liaise with external tax auditors during the preparation of statutory financial statements.
Tax Policy:
Lead tax risk mitigation plans and advise on new legislation impacting tax exposure.
Ensure timely implementation of changes in tax laws affecting the business.
Transfer Pricing:
Monitor related-party transactions for transfer pricing risks.
Work with tax consultants to develop policies, perform reviews, and align with local tax laws and OECD guidelines.
Tax Audits & Assessments:
Support internal and external audits, monthly, quarterly, and yearly compliance checks.
Resolve tax assessments and implement mitigation measures to prevent future exposures.
Tax & Treasury Liaison:
Act as the link between business and stakeholders including tax consultants, auditors, authorities, banks, and lobby groups.
Treasury Management:
Ensure all banking and cash operations comply with company policies.
Maintain adequate funds to meet obligations through effective cash-flow management.
Exchange & Credit Risk Management:
Develop optimal hedging strategies against exchange rate risks.
Monitor and supervise credit operations, ensuring customers trade within credit terms and mitigating credit exposure.
Insurance:
Ensure company assets are adequately insured against potential risks.
Requirements:
University degree in a relevant field.
Professional accounting qualification (CPA-K/ACCA).
Familiarity with FMCG financial and operating policies.
Strong communication and leadership skills.
Experience in ERP/Oracle environment.
Minimum 10 years in Accounting/Finance, with at least 5 years in Tax and Treasury or similar roles.
Candidates must have experience working in the industries mentioned above (e.g., EABL, Kevian, BAT, Bidco, Ketepa, etc.)
How to Apply:
Send your CV to recruitment@workglobalemcareers.com
or racgra18@gmail.com
. For more information, visit www.workglobalemcareers.com
.
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