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Job Description
Role Overview:
The ideal candidate will be responsible for working with senior management to develop financial strategies for the organization. Create accurate data analysis and advise senior management on profit-maximizing ideas to ensure long-term success. This is the job for you if you are good with handling large amounts of data, acting as a business partner, decision maker, and providing regular financial reporting.
Responsibilities
- Perform financial management duties including generating financial data, compiling and submitting reports, analyzing industry trends and assessing the financial health of the company.
- Analyze costs, pricing, variable contributions, sales results and the company’s actual performance compared to the business plans.
- Create accurate data analysis and advise senior management on profit-maximizing ideas to ensure long-term success.
- Oversee the operations on areas of Budgeting, Analysis, A/P, A/R, billing & invoicing, treasury, collection...etc.
- Oversee the development of the company’s finance departments including creating and reviewing policies, recruiting, training and conducting regular assessments of financial procedures.
- Oversee operations of the finance department, set goals and objectives, and design a framework for these to be met.
- Conduct reviews and evaluations for cost-reduction opportunities.
- Advise colleagues and executive management on decisions related to the company’s finances.
- Advising on investment activities and provide strategies that the company should take
- Supervise the documentation of the company’s financial status and forecasts.
- Mediate between the organization, employees, stakeholders, shareholders and investors on financial issues for amicable resolution of differences.
- Create strategic business plans based on the analysis of the company’s status and financial forecasts.
- Liaise with auditors to ensure appropriate monitoring of company finances is maintained.
- Correspond with various other departments, discussing company plans and agreeing on future paths to be taken.
- Supervise the preparation of quarterly and annual account reconciliations, monitor and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
Job Requirements
Qualifications
- Excellent command of English language is a must
- Bachelor's degree or higher in Finance is a must. Post graduates’ studies is a plus. Postgraduate degrees in financial management would also be beneficial for candidates looking to advance their career.
- +20 years of experience in Finance positions, including at least 5 years in managerial/ senior role,
- Extensive understanding of financial trends both within the company and general market patterns
- Fluency in Microsoft Office suite (Outlook, Excel, Word, PowerPoint, etc.)
- Working knowledge of all statutory legislation and regulations
- Detail-oriented and analytical
- Great sense of integrity & ethics
- Negotiation skills and the ability to develop strong working relationships
- Commercial and business awareness
- Good communication skills – both written and verbal
- A keen eye for detail and desire to probe further into data
- Ability to stick to time constraint
Competent at areas of :
- Accountancy or Finance
- Economics
- Mathematics
- Business Studies
- Management