Tax & Treasury; Manager
Kaziweza Limited
Accounting, Auditing & Finance
Job Summary
Tax reporting, Tax Compliance,Planning, Tax advisory, Treasury operations services, ensuring that the client's Tax and Treasury policies, processes and procedures are compliant with the legal, tax codes and policies.
- Minimum Qualification : Bachelors
- Experience Level : Senior level
- Experience Length : 10 years
Job Description/Requirements
Main accountabilities:
- Drive
the tax compliance and planning agenda for all tax heads (Income Tax,
Withholding Taxes, VAT, Excise duty, Payroll & Customs) affecting
the business and review tax returns for each tax obligation.
- Provide
advice on Company specific transactions including reviewing customers’
and suppliers’ contracts and highlighting tax exposure areas and ensure
that businesses take advantage of existing double tax treaties when
contracting.Supervising duty remission program to ensure the business
obtains optimal tax benefits from the scheme.
Tax Reporting:
- Preparing the Companies’ current tax and deferred tax calculations and analyze the effective tax rate.
- Liaise with external tax auditors in preparation of end of year statutory financial statements.
Tax Policy:
- Provide
leadership in tax risk mitigation plans and proactively advise the
business on new legislation that may lead to tax exposure in the markets
where the businesses operate.
- Ensuring all changes in tax laws affecting the business are implemented in a timely manner.
Transfer Pricing:
- Monitoring key-related party transactions that may lead to transfer pricing risks.
- Additionally,
work closely with tax consultants to develop robust transfer pricing
policies,perform periodic reviews and align the same with local income
tax laws and OECD (Organization for Economic and Cooperation
Development) guidelines.
Tax audits:
- Providing
support for external audits, internal compliance checks and
participating in monthly, quarterly, and yearly compliance audits and
health checks.
- Work
in collaboration with tax consultants in handling audit queries raised
by the revenue authority and implement agreed upon decisions.
Tax Assessments:
- Resolving any tax assessments with the tax authority and developing mitigation measures to avoid future tax exposures.
Tax &Treasury Liaison:
- Act
as the link between business and key stakeholders like external tax
consultants, external auditors, tax authorities, lobby groups and banks
on business matters.
Treasury Management:
- Ensuring all banking and cash operations are within the company policies.
- Ensuring
the Company maintains adequate funds to meet financial obligations as
and when they fall due through effective cash-flow management.
Exchange Risk Management:
- In liaison with banks adopt an optimal hedging strategy against exchange risk exposure.
Credit risk Management:
- Closely
monitoring and supervising credit control operations by ensuring that
customers trade within their credit terms and adopt strategies to
mitigate credit exposure.
Insurance:
- Ensuring all Company assets are adequately insured against all potential risks and perils.
Requirements
The ideal candidate should meet the following requirements: -
- University degree in a relevant field.
- Professional accounting qualification (CPA-K/ACCA).
- Familiarity with FMCG organisation financial and operating policies.
- Proven ability to interact with other senior local & Corporate/Regional Management.
- Good communication and leadership skills
- Experience in working in an ERP/Oracle environment.
- Minimum 10 years’ experience in Accounting or Finance, 5 years’ of which should be in a Tax and Treasury, or similar role.
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