Job Description
Job Reference: TSM2023013
Job Description
- Dealing with banks (opening LCs, bidding and its documentations).
- Supervising bank accounts and facilities.
- Supervising budget, clarifying modalities for budget inputs and collating budget and financial plan for the company based on research, inputs from budget holders and primary financial data.
- Preparing monthly, quarterly, and annual financial reports to generate results, identify trends and produce reliable financial forecasts.
- Liaise wIth and clarify queries/observations by both the internal and external auditors.
- Effectively supervising working capital for the business.
- Continuously improving efficiencies; Initiating and assisting in cost reduction strategies.
- Motivating and lead finance team members by clarifying roles and providing coaching.
- Prepare and review detailed financial analysis to illustrate key business drivers, and performance indicators, identify engagement risk and determine the appropriate financial strategies to get desired results.
- Analyse data and advise senior managers on profit-maximising strategies; help optimize company profits over time by making intelligent decisions for investments or spending funds to have the greatest return on investment.
- Build and maintain positive working relationships with other departmental Heads/Leads, other departments, outside agencies, vendors and state and federal auditors.
- Developing and effectively implementing internal systems, business processes, SOPs, and organisational policies and procedures that ensure efficient and effective operations in finance.
- Conduct reviews and evaluations for cost-reduction opportunities.
- Develop trends and projections for the company’s finances.
- Advise on investment activities and provide strategies that the company should take
- Manage and coach a treasury team that can exhibit a great depth of the organization’s values, and culture and show continuous growth in personal, departmental and organizational development.
- Up-to-date knowledge of industry standards for corporate finance administration, budget preparation and management, financial reporting, forecasting and financial analysis.
- Display in-depth understanding and application of leading practices in governance concerning finance in the workplace.
Requirements
- B.Sc. / MBA / M. Sc. in Finance.
- Must have ACCA/ACA
- At least 2 years senior management level experience in a reputable organisation with 6+ years’ experience as a Financial/Treasury Manager
- Deep knowledge and use of relevant finance and data reporting tools/software
- A solid understanding of financial statistics and accounting principles
- Working knowledge of all statutory legislation and regulations
- Advanced proficiency in the use of MS Excel and other MS-word and G-suite tools.
Skills and Attributes:
- Must have demonstrated experience in corporate finance management, startup advisory services, financial modelling, valuation, capital raising, and principal investing.
- Able to demonstrate previous experience in using extensive financial information to support executive-level decision-making; developing, and using advanced/complex financial models, and making business recommendations from the analysis of corporate financial statements
- Must have a great sense of ownership and accountability for your work.
- Must be a great manager of people and can build collaboration between several teams to get the work done.
- Must have strong past results in creating and implementing processes, the ability to influence adoption in the team and iterating processes based on learnings.
- Strong interpersonal, communication and presentation skills