The ideal candidate will be in charge of Project Management accounts, Cost control, Cash flow Management, Budgeting and Reports preparation.
MAIN TASKS AND RESPONSIBILITIES
Prepare all the books of accounts for the company in respect to revenue and expenditures in a timely, accurate and clear manner.
Lead and compile the company annual revenue and expenditure budget, capital expenditure budget and perform monitoring and variance analysis.
Analyze and forecast critical financial performance indicators such as cash flow, cost controls and actual figures against budgets / targets. Convey these analyses to the Management and recommend on corrective measures.
Advise the company top management on financial matters – rules, reporting frameworks, trends and new developments.
Ensure compliance of the company to financial and regulatory requirement.
Ensure the timely payment of all taxes, levies and statutory fees.
Promote and manage healthy business relationships with company suppliers, customers, stakeholders, auditors, bankers, insurers and other service providers
Design and implement systems and controls for monitoring and managing financial processes and procedures
Lead in development of project budgets, monitoring and control to ensure projects are executed within projected cost and remain profitable.
Establish and maintain appropriate internal control safeguards.
SKILLS AND QUALIFICATIONS;
University degree in Accountancy, Finance, Commerce, Economics or Business Administration
CPA finalist, or ACCA, from a recognized institution
At least 4-7 years’ relevant experience
Good Presentation skills
Good communication skills.
Good understanding of corporate finance and managing projects