TAX AND TREASURY ACCOUNTANT @ BROWNS PLANTATIONS TANZANIA LIMITED
The Tax and Treasury Accountant position is primarily focused on the BPTL’s tax compliance responsibilities and supporting the Treasury function. The successful candidate will support the Financial Controller in all areas of the Corporation’s tax and treasury operations, ensuring these are administered in a timely, efficient and effective manner and in accordance with the BPTL’s control procedures, and to provide technical support to the wider Finance team. The role involves managing statutory deductions, performing cash flow reconciliations, and ensuring strict compliance with tax regulations.
Furthermore, the incumbent will partner with assigned business units to support budgets, continuous financial management, and reporting analysis. You will be responsible for overseeing daily to yearly financial activities, maintaining bank relationships, handling forex deals, and ensuring the safety of cash in hand and at the bank. The role requires a highly organized professional capable of providing clear financial commentaries and supporting both internal and external audits effectively.
Furthermore, the incumbent will partner with assigned business units to support budgets, continuous financial management, and reporting analysis. You will be responsible for overseeing daily to yearly financial activities, maintaining bank relationships, handling forex deals, and ensuring the safety of cash in hand and at the bank. The role requires a highly organized professional capable of providing clear financial commentaries and supporting both internal and external audits effectively.
Key Requirements
Bachelor of Commerce in Accounting
2 to 4 years’ experience in Accounting Professionals
Experience in people management
Better than average written and spoken communication skills
Outstanding interpersonal relationship building
Employee coaching and development skills
Prior experience in accounting, tax preparation, or tax law is beneficial
CPA (T) or ACCA certification
Proficiency in financial software and MS Excel
Strong analytical skills for cash flow forecasting and reconciliation