Our client is recruiting a Chief Financial Officer with proven experience in finance modeling, capital raising and negotiation.
The ideal candidate will be responsible for planning and executing the organization’s financial strategy as well as institute strong risk management throughout the organization.
Successful candidates will be involved in long-term business planning, data analysis, budget control, revenue assurance, stress testing, and reporting on financial performance and Key Performance Indicators (KPIs).
Financial Planning and Strategy, Managing Profitability, Strategic Planning and forecasting, Corporate Finance, Developing Budgets, managing relationships with banks and negotiations, fundraising, and dealing with internal and external stakeholders.
Key Responsibilities
Responsible for the integrity of the General ledger
Implementing procedures according to Corporate policies and procedures
Full responsibility for the production of monthly management accounts
Review and approve all reconciliation and schedules such as bank statements, schedule of accrued charges, prepayments etc.
Ensuring profitable margins on products are achieved and maintained.
Demonstrating cost-cutting initiatives aiming at providing best solution at lower cost
Developing and implementing effective controls framework and management systems to guide and support business operations
Liaising with both external and internal auditors
Planning and managing the material ordering process and ensure constant availability.
Ensuring monthly general ledger entries CAPEX and OPEX accruals and provisions are raised.
Preparing Monthly Management accounts for both internal and regulatory usage.
Develop analytical tools to evaluate business proposals and identify the best decisions.
Involvement in day-to-day management team management
Statutory reporting and year-end duties.
Consolidation and reporting to senior management
Preparation of monthly budgetary control and performance.
Preparation of the overall annual budget of the bank, including the assumptions and the ratios.
Treasury management and monitoring.
Producing multi-dimensional reports for Management decision
Ensuring that all costs are properly tracked and that OPEX and CAPEX are within budget.
Requirements
Minimum of B.Sc in Accounting / Finance / Economics
Minimum of 5 Years relevant professional experience in a similar role.