Job Description
The Treasury, Tax & Compliance Manager leads Group treasury, liquidity, funding and capital management activities, ensuring robust cash flow forecasting, effective banking relationships and prudent financial risk management across all jurisdictions. The role oversees Australian and international tax compliance and structuring, providing technical advice on cross‑border transactions, transfer pricing, and regulatory obligations including African operations. It supports and strengthens the Group's enterprise risk management, compliance and governance frameworks, including internal controls, insurance and statutory reporting. The position provides tax and compliance oversight for complex commercial and revenue‑generating arrangements, partnering closely with Finance and Commercial teams to ensure accurate treatment and disclosures. Acting as a trusted adviser, the role delivers high‑quality analysis and reporting to senior management, governance committees and the Board while mentoring finance capability across the organisation.