Job Description
Preparing and interpreting reports, budgets and financial statements
Monitoring and interpreting cash flows and planning for future cash needs
Manage relationship with bankers to secure necessary funding
Arranging new sources of finance for the company’s debt facilities
Developing financial management mechanisms that minimize financial risk
Overall cost reduction and cost control
Conducting reviews and evaluations for cost-reduction opportunities
Managing the company’s financial accounting, monitoring and reporting systems
Liaising with auditors to ensure annual monitoring is carried out
Developing external relationships with appropriate contacts, e.g. auditors, solicitors, bankers and statutory organisations
Liaise with tax authorities and ensure appropriate taxes are paid
Requirements:
A first degree (B.Sc)
Professional certification (ICAN/ACCA)
Minimum of 3 years experience in similar role.
Smart and Energetic
Entrepreneurial mindset and excellent communication skills.
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