We are looking for a detail-oriented and strategic Treasury / Tax Manager to oversee cash flow, liquidity, and tax compliance for our MVNO business. This role ensures optimal cash management, efficient funding, and adherence to all local and international tax regulations while supporting the company’s growth and operational needs.
Key Responsibilities
Manage daily cash flow, bank relationships, and funding requirements.
Monitor and forecast liquidity to support operational and strategic needs.
Develop and implement treasury policies, controls, and risk management strategies.
Oversee foreign exchange exposure and hedging strategies.
Ensure timely and accurate preparation and filing of tax returns (corporate, VAT, withholding, etc.).
Maintain compliance with all local and international tax regulations.
Advise management on tax planning opportunities to optimise effective tax rate.
Liaise with tax authorities, auditors, and external advisors.
Support finance leadership with cash and tax-related reporting for management and investors.
Implement process improvements and automation in treasury and tax operations.
What You’ll Bring
Bachelor’s degree in Finance, Accounting, or related field.
Professional qualification (ACCA, ACA, CPA, or equivalent) preferred.
7+ years’ experience in treasury and/or tax roles, preferably within telecoms or multinational environments.
Strong knowledge of banking operations, cash management, and corporate taxation.
Experience with treasury management systems and ERP platforms.
Excellent analytical, organisational, and problem-solving skills.
Strong communication and stakeholder management abilities.