To oversee the overall financial management process and play a key role in developing and implementing financial procedures to improve and maintain the financial health of our firm.
To assess financial risks and opportunities, setting and tracking financial goals, objectives, and budgets.
Reviews financials via financial scorecard monthly (done a minimum once a month)
Understands any variances and their causes (both good and bad) and creates any plans necessary to handle adjustments
Deciding on investment strategies by considering cash and liquidity risks
Ensure full transparency over the financial performance of the company
Propose action plans to ensure that annual financial objectives are achieved
Oversee the company’s fiscal activity, including budgeting, reporting, and auditing.
Review the annual and monthly budgets and monitors adherence to budget through monthly performance reviews
Prepare accurate and reliable cashflow forecasting reports and manage the cash position
Prepare a cashflow projection for the company and manage the cash position
Ensure that all statutory deductions and tax returns are filed on time
Review bank statements, processing bank deposits and all associated finance entries
Skills and Attributes
Financial / commercial management exposure
Our ideal candidate must be ready to grow into a CFO role.
Requirements
BSc in finance or Accounting
MBA or Msc will be an added advantage
Professional Qualification like ACCA/ICAN, or its equivalent is essential
10 years experience preferably at a senior manager level in a finance services e.g banks, investment, insurance e.tc. company with diverse experience that should cover corporate and business banking.