Currency Partners Accounting / Finance Jobs in Cape Town
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We are seeking a strategic and systems-oriented Financial Manager to lead the financial planning, analysis, and reporting functions within our dynamic foreign exchange intermediary business. This role is ideal for a qualified finance professional with a strong background in automation, financial controls, and data-driven decision-making.
The Financial Manager will report directly to the Finance Director and serve as a trusted advisor to senior leadership.
Key Responsibilities:
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Financial Planning & Analysis
- Deliver accurate, insightful financial analysis to support strategic decisions and business growth.
- Develop, monitor, and report on budgets, forecasts, and variance analyses.
- Lead the development and automation of budget-to-actual reporting.
Financial Reporting & Controls
- Oversee the month-end close process, ensuring timely and accurate financial reporting.
- Ensure compliance with financial regulations and internal control frameworks.
- Collaborate with outsourced accounting, tax, and payroll providers to ensure all statutory and compliance obligations are met.
- Maintain high standards in reconciliations and audit readiness.
Technology & Financial Systems
- Optimize the financial reporting infrastructure through integration of tools such as Xero, dashboards, and financial databases.
- Drive automation and process enhancements to reduce manual workloads and improve reporting accuracy.
- Explore and implement AI and data analytics tools to enhance financial insights and efficiency.
- Troubleshoot system inefficiencies and oversee financial system integrations with business tools.
Strategic Support
- Provide proactive financial insight and recommendations to the Finance Director and leadership team.
- Support strategic initiatives through financial modelling and scenario analysis.
- Participate in special projects aimed at improving financial performance and technology adoption.
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Qualifications & Experience:
- CA(SA) or CGMA qualification preferred.
- Minimum of 2 years post-qualification experience in financial management or strategic finance.
- Proficiency in Xero and familiarity with financial dashboards and CRM integrations.
- Strong understanding of financial reporting standards and internal controls.
- Proven track record in financial system automation and process improvement.
- Excellent analytical, problem-solving, and communication skills.
- Ability to work efficiently in a fast-paced, high-growth environment.
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