Description
Our Client, one of the top ten (10) leading National Supermarket Chains in Nigeria with diversified Consumer Goods, Retail, Quick Service Restaurants, Entertainment and Manufacturing is looking to fill the position of Head of Finance
Job Summary
The Head of Finance will be responsible for providing high quality analysis of the business performance and market conditions to create forecasts. In addition to partnering with the senior management team to make tactical and strategic decisions that will elevate business performance.
Job Description
Consolidate and analyze financial data. Prepare monthly reports, which include key metrics, financial results, and variance reporting
Develop financial models, conduct benchmarking, and process analysis that will help with providing financial forecasts and decision-making
Provide creative alternatives and recommendations to reduce costs and improve financial performance
Implement effective cost center management system that enables front line managers to deliver targets to ensure achievement of overall company cost goals
Monitor, determine and facilitate execution of pricing or sourcing changes to deliver gross margin targets
Consult with management to guide and influence long term and strategic decision making in line with business context, industry dynamics, local and global business trends
Drive process improvement and policy development initiatives that impact the financial performance of the business and ensure highest standards for documentation and accounting practices
Proactively identify and mitigate any potential audit, tax or regulatory risks. Maintain collaborative and effective relationships with all relevant external bodies including regulators and financial institutions
Implement word-class controls on spending to eliminate risk of fraud across all payment method and keep abreast of new investment regulations or policies
Oversee the treasury and cash management function. Improve control system around multibillion-naira cash handling operations
Project cashflow needs and manage operational and financing cashflows to match capital spending requirements
Optimize working capital in collaboration with supply chain function. Ensure liquidity targets are met and supply chain function operates within limits of planned cash allocation
Deliver highest level of supplier satisfaction by maintaining accurate supplier records and developing Accounts Payable function that communicates clearly with suppliers and delivers on laid out payment schedules.
Requirements
Bachelor’s degree in Accounting (minimum of second class upper or higher preferred)
Masters, Accounting, Finance or MBA preferred but not required
Must be a qualified /certified Accountant ICAN/ACA
Minimum of 10 years’ progressive financial experience in similar roles and a minimum of 4 years in a senior managerial capacity
Proven knowledge of financial forecasting and diagnosis, corporate finance and information analysis
Proficient in spreadsheets, databases, MS Office, financial software applications and statistical analysis using statistical packages
Excellent presentation, reporting and communication skills