Group Tax & Treasury Manager
Job in
Irene, Northern Cape, South Africa
Listed on 2026-09-21
Listing for:
SolarAfrica Energy Pty Ltd
Full Time
position Listed on 2026-09-21
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Compliance, Financial Manager, Financial Analyst
Job Description & How to Apply Below
The Group Tax & Treasury Manager plays a key role in supporting Solar Africa's growth by ensuring strong treasury management, sound funding structures and effective tax compliance across the Group. The role helps safeguard the company's financial position, supports strategic decision-making and ensures the business is well positioned to achieve its long-term growth objectives.
Position of the job in the organisation:The Group Tax & Treasury Manager will report directly to the Head of Finance.
Principal responsibilities:Tax Management
- Ensure tax compliance across all Group entities.
- Review and submit VAT, provisional tax and income tax returns.
- Manage SARS audits, queries and engagements.
- Liaise with auditors and external tax advisors.
- Drive tax planning and tax-efficient structuring initiatives.
- Manage Group debt facilities, funding structures and lender relationships.
- Maintain debt, loan and amortisation schedules.
- Monitor debt repayments, funding obligations and covenant compliance.
- Prepare lender reporting, financial models and cash flow forecasts.
- Manage shareholder loans, guarantees and funding facilities.
- Manage Group treasury operations and banking relationships.
- Oversee cash management structures and banking facilities.
- Optimise Group liquidity and cash utilisation.
- Prepare consolidated Group cash flow forecasts.
- Present cash flow and funding updates to Management and Exco.
- Maintain intercompany loan and balance schedules.
- Reconcile intercompany balances across the Group.
- Manage intercompany funding, finance income and finance costs.
- Prepare elimination schedules for Group reporting.
- Forecast intercompany funding requirements.
- Prepare reporting for lenders, shareholders, Management, Exco and the Board.
- Ensure compliance with lender, shareholder and regulatory requirements.
- Monitor funding, liquidity and tax risks.
- Support funding, refinancing and corporate finance initiatives.
- Drive continuous improvement across treasury, tax and finance processes.
- Any other job duties associated with this role.
- Bachelor's Degree in Finance, Accounting, Tax, Economics or related field.
- CA(SA), CTA, or equivalent professional qualification preferred.
- 7-10 years' experience in Group Tax, Treasury, Corporate Finance, Tax or Group Finance.
- Experience managing debt facilities, funding structures and lender relationships.
- Strong knowledge of corporate tax, VAT and regulatory compliance.
- Experience in a multi-entity group environment.
- Advanced financial modelling and cash flow forecasting experience.
- Experience engaging with SARS lenders, auditors, banks, and external advisors.
- Strong technology savvy with the ability to quickly learn and effectively use new systems, tools, and digital platforms
- ERP / MS Dynamics experience:
Advantageous
- Strong analytical and problem-solving skills.
- High attention to detail and accuracy.
- Strong stakeholder management and communication skills.
- Takes ownership and works proactively.
- Able to manage multiple priorities in a fast-paced environment.
- Commercially minded with strong business acumen.
- Experience in renewable energy, infrastructure or project finance.
- Continuous improvement mindset with a focus on efficiency and optimisation.
- I will have built strong relationships with SARS, key stakeholders, lenders, banks and advisors.
- I will have taken ownership of the Group's treasury, tax, debt and intercompany processes.
- I will have developed a clear understanding of the Group's funding structures and reporting requirements.
- I will be delivering a tangible tax improvement plan for the group
- I will be effectively managing…
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