Job Description
Job Responsibilities
- Responsible for Business Strategy and financial policies, procedures, and systems.
- Oversea the preparation of Annual Operating Plan.
- Ensures that optimal liquidity is available to deliver the business plans.
- Review working capital/cash flow requirements on a regular basis. Monitors banking activities and ensures regular reconciliations of all transactions.
- Develops plans, budgets, forecasts, and financial results to guide management decisions.
- Monitors financial performance by measuring and analyzing results; initiating corrective actions; minimizing the impact of variances.
- Coordinate regulatory and supervisory functions and manage relationships with regulatory and statutory bodies.
Job Requirements
- Bachelor's Degree in Business, Finance, Accounting, or relevant field
- Minimum of 5 years financial experience, with at least 5 years in banking operations, importations, taxation, and Auditing
- Proficient in the use of accounting software (Sage etc) and conversant with the ERP
- Proficient in the use of all MS Office Packages
- Good knowledge of Corporate, Business Planning, Revenue Assurance, Treasury Management, and Accounting with excellent knowledge of Banking.
- Professional qualification in ACA/ACCA/CFA
- MBA in Finance would be an added advantage.
Interested and qualified candidates should send their CV to: [email protected] using the Job Title as the subject of the email.