Exciting Opportunity: Financial Manager: Revenue & Treasury in Cape Town
A leading retail group operating across multiple countries is seeking an experienced Financial Manager: Revenue & Treasury. This is your chance to take ownership of revenue integrity, treasury controls, and cash flow in a dynamic environment in Cape Town.
Key Responsibilities
- Ensure revenue integrity through accurate reporting and analysis.
- Oversee treasury controls and coordinate liquidity management.
- Develop strategies to enhance cash flow and reduce financial risks.
- Collaborate with different departments to align financial goals.
- Prepare detailed budgets and financial forecasts.
Requirements
- Qualification: CA(SA) or equivalent financial qualification.
- Experience: Proven track record of at least 5 years in a financial management role.
- Skills: Strong analytical skills and proficiency in financial software.
- Knowledge: Solid understanding of corporate finance and treasury operations.
💰 Salary Insight
Official Offer: R700,000 – R800,000 per year.
(Note: Salary figures are based on data provided by the recruiter and market estimates.)
🔮 3 Common Interview Questions for this Role
- “Can you describe your approach to managing cash flow and ensuring liquidity?”
- “How do you ensure compliance with financial regulations and internal controls?”
- “Can you give an example of how you’ve improved revenue reporting in previous roles?”
Tips on Crafting a CV for this Role
- Highlight Financial Expertise: Specify your experience with treasury management and revenue integrity.
- Demonstrate Results: Use quantifiable achievements, like improving cash flow or reducing discrepancies.
- Show Leadership Skills: Emphasize your ability to lead teams and collaborate cross-functionally.
Related Job Titles: Treasury Manager, Finance Director, Financial Analyst, Revenue Officer.

