Anonymous Employer

Job Summary

To provide a strongly controlled environment, consistent with corporate and local statutory requirements, within which profitable revenue growth is encouraged, costs are contained, billing is timely and accurate, trade receivables are promptly collected, in order to maximize cash flow and profit, whilst financial performance is accurately measured against business plans and budgets and Financial Reports are made to the Managing Director and the Board of Directors

  • Minimum Qualification: MBA / MSc
  • Experience Level: Mid level
  • Experience Length: 6 years

Job Description

  • Preparing an annual bottom-up budget using realistic budget assumptions and produce quarterly forecast updates in the light of actual information to meet the corporate timetable.
  • Analyzing and explaining deviations of actual results from budget and forecasts prior to submission of monthlies.
  • Proposing corrective revenue and cost actions to maximize profit opportunities
  • Preparing cost-benefit justifications to support capital expenditure proposal
  • Ensuring that all transactions are real correctly calculated, appropriately approved and completely and accurately booked on a timely basis to meet standard Financial Control Policy
  • Representing the Company for external contacts with 3rd parties like Audit Companies or local Banks.
  • Establishing robust processes and local policies and procedures to comply with requirements.
  • Implement local accounting ERP systems across functional areas
  • Developing a solid back-office infrastructure and support system for business growth. Support all business activities
  • Skills in accounting such as excel, Peachtree Accounting package, computer literacy
  • Reviews and interprets investment and market research reports
  • Prepares reports as required by the Managing Director
  • Develops/updates operational policies, processes and procedures for the department.
  • Ensuring variances between the weekly estimates and the monthly financial statements and monthly movements on balance sheet accounts are documented, analyzed and satisfactorily explained
  • Ensuring that all external financial reports, returns, and statements are complete, accurate and conform to local regulatory, fiscal, legal and other statutory requirements.

Functional Competencies:

  • Leadership
  • Strategic Perspective
  • People Management
  • Project cost and budget monitoring
  • Business Acumen

Key Skills and Abilities:

  • Oral Communication with internal and external stakeholders
  • Oral and written communication
  • An MBA or higher from any prestigious institution
  • Real Estate Background preferably (but not compulsory)
  • Strong analytical skills and Good interpersonal relationship management skills
  • Strategic Skills
  • Human Management
  • Leadership abilities
  • Industry knowledge
  • Analytical skills

Share Job Post

Log In to apply now

| Full Time |
NGN Confidential
| Full Time |
NGN Confidential
| Full Time |
NGN Confidential