2 months ago

Job Summary

This position is responsible to report to the Managing Director and COO, building and maintaining excellent admin and accounting standards and see to their compliance by all staff, preparation, and presentation of financial statements of the company to the managing director every month.

  • Minimum Qualification:OND
  • Experience Level:Entry level
  • Experience Length:2 years

Job Description/Requirements

Responsibilities:

  • Budget, project cash flows, and determine how to invest and finance projects
  • Develop and manage the Company’s finance strategy
  • Manage relationships with financial institutions and investors
  • Manage relationships with external auditors, regulatory bodies/ authorities, and financial management consultants
  • Manage tax planning and compliance, and interface with the Federal and State tax authorities
  • Establish and maintain internal controls systems to safeguard the financial assets of the organization
  • Manage processes for financial planning & strategy, budgets, and forecasts
  • Lead preparation of financial reports and consolidated accounts in accordance with relevant accounting standards
  • Lead and coordinate the preparation of detailed Group financial targets, strategic plans, and budgets (working with business unit managers) in line with Group strategy
  • Develop and execute financial plans to ensure that the company’s financial needs are met as and when due in the most efficient manners (Operations, Creditors, and investor relations)
  • Work closely with business unit and cost center managers to provide a comprehensive accounting support service, including the provision of financial information and analysis 
  • Develop benchmarks for measuring the financial and operating performance of business units (i.e. key performance indicators)
  • Analyze and report on trends and opportunities for expansion and projection of future Group growth
  • Develop and track key business and financial performance targets
  • Coordinate the process of preparation of the monthly and quarterly management accounts and annual report at the consolidation level (consolidation of the results from the business units)
  • Monitor and analyze monthly operating results against budget (including implications for the balance sheet and cash flow)
  • Communicate balance sheet and cash flow implications of the business activities
  • Provide an assessment of the capital spending for the year and the impact on the following year’s program on a rolling basis.
  • Ensure that Business performance is effectively monitored and challenged to allow for appropriate and timely intervention on performance issues
  • Establish robust financial controls, systems, and processes
  • Strategic cash flow management
  • Any other duties that may be assigned. 


Requirements:

  • Minimum academic qualification of an OND in Accounting or Finance from a reputable Tertiary Institution
  • Professional Qualification(ICAN OR ACCA) will be an advantage
  • Minimum of 2 years experience as an Account Officer 
  • Experience using Peachtree and Sage Accounting software packages is a must


Location: The candidate must live within the Oworonshoki, Gbagada, Victoria Island, Ikoyi, Lekki, Ajah axis.

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