Corporate Finance Manager
Skache Integrated Services
Accounting, Auditing & Finance
Job Summary
The successful candidate will be responsible for providing professional input to the Company’s strategic planning process, working with various cross-functional teams, including Commercial, Operations, Projects, and Finance to identify, evaluate and analyse evolving strategic priorities, setting strategic objectives and goals, identifying instruments for their attainment as well as monitoring and evaluation of chosen strategy. The key deliverables in this role will include but not limited to Business Case Reviews, Information Memoranda, Business/Strategic Plans, Board Reports, Financial Models, Investment Teasers, Capital Budget
- Minimum Qualification : Degree
- Experience Level : Senior level
- Experience Length : 5 years
Job Description/Requirements
Responsibilities:
- Evaluate, define, and prepare relevant market assessment and commercial pricing analysis, and forecast suitable for power and gas sales
- Conduct appraisals on prospective business/investment opportunities and advise Management accordingly
- Manage financial due diligence exercise during fundraising activities
- Own and support the capital allocation strategy and review process
- Own consolidated corporate models, including the strategic/business plan, annual budget, and periodic (quarterly) forecasts
- Own and regularly update the strategy document
- Maintain the accuracy and improve the functionality of all corporate/financial models
- Support the preparation of monthly and quarterly financial reporting on commercial and other investment activities (organic and inorganic alike)
- Prepare investor relations documents as needed, including board presentations
- Provide financial integration and capitalization support, and make recommendations to Management on M&A activities
- Assist Finance/Management in understanding variances to budget for monthly management financial reports, particularly variances resulting from business activities
- Acts as the primary point of contact for all budget-related inquiries
- Conduct research on industry trends, pricing, comparable indicators, etc, and advise Management accordingly
- Support Finance/CFO on financial analytics and corporate presentations as required
- Support development of the strategic plan & process, including long-term, annual, and quarterly views, and update strategic plans and measure progress against business objectives
Requirements:
- Bachelor’s degree in Finance, Economics, Accounting, or related field
- Master’s degree and/or professional certification in the related field
- Minimum 5 years’ post-NYSC professional experience
- Financial analysis and reporting skills
- Consulting experience would be an advantage
- Financial analysis certifications
Competencies Required for Position:
- Mergers & Acquisitions
- Debt and Equity Instruments
- Deal Structuring
- Corporate and Capital Budgeting
- Financial Statement Analysis
- Financial Modelling
- Power/Energy industry knowledge
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