Job Summary

Oversee Financial Control and back-office activities that support operations on and off site

Job Responsibilities

Provide leadership and management to the financial department
Provide financial strategy recommendations to CEO and executive team
Identify and address potential financial risks for the company
Oversee all financial decisions, such as budgeting and auditing
Implement strategies and systems to improve financial performance
Support financial department in developing short- and long-term financial goals
Review financial reports and determine methods to reduce costs
Serve as a key point of contact for financial department and auditors
Prompt presentation of the Monthly & Annual Management Account
Ensuring that financial audits are well and promptly carried out
Manage Tax agencies, while ensuring that there are minimal Tax related issues by ensuring prompt payment of all Taxes (WHT, WAT, PAYE, etc)
Ensure Treasury Management is up to date and effective
Oversee Cashflow and Liquidity position of the company Key Competencies

Key Performance Indicators:

Turn Around Time on Payment processing
Liquidity ratio/ Operating Cashflow
EBITDA Growth
Overhead Cost Ratio
SFL Investment yield to Booked Investment (Customers Investment Booked)
Competitiveness of SFLs rate compared to competition
Management Report 3rd Working day of the new month
Account Payable Turnover
95% Tax compliance
99% Regulatory Compliance
Number of Audit Journals passed.

Requirements

Candidates should possess a Master's Degree qualification with 5 - 7 years work experience.
  • Finance
  • Accounting
  • Audit