Job Summary
This position is responsible for providing and interpreting financial information, monitoring and interpreting cash flows as well as the day-to-day financial operations within the company.
S/He is also responsible for investigating ways to improve profitability and analyze markets for business opportunities.
Job Description
Maintain a documented system of accounting policies and procedures.
Ensure efficient cash flow management
Prepare financial information in line with IFRS reporting requirements
Formulate and implement strategic and long-term business plans;
Analyse competitors and market trends;
Develop financial management mechanisms that minimise financial risk;
Conducting reviews and evaluations for cost-reduction opportunities;
Manage financial accounting, monitoring and reporting systems;
Provide good Industry knowledge support to enhance good decision making.
Prepare activity reports and financial forecasts.
Investigate avenues for improved profitability
Analyse markets for business opportunities, such as expansion, mergers or acquisitions.
Provide management information that will guide in the realisation and assessment of short, medium and long term goals and strategy of the organisation
Budget formulation and management
Ensure timely remittance of all taxes and other statutory deductions
Revenue and cost control and management
Working capital management
Develop policies and procedures for the finance department
Provide online real time financial information
Liaise with auditors to ensure periodic/annual statutory audits is carried out;
Develop external relationships with appropriate contacts, e.g. Auditors, solicitors, bankers and statutory organisations such as the inland revenue;
Supervise all staff in the finance department
Perform other duties assigned
Job Requirements
Minimum of a Bachelor’s degree in Finance/ Accounting
5 -7 years of relevant work experience in Finance and Accounts with minimum of 3 years in Managerial role.
ACA or ACCA certification is compulsory.
Above average proficiency in the use of MS Office package
Familiarity with IFRS and its implementation
Familiarity with the audit & statutory requirements
Ability to prepare/review complex financial models
Good understanding of and working experience in the oil & gas sector is an added advantage
Demonstrated understanding of business strategy, process management, revenue and cost management
Applicants should send their Application and CV’s to: careers@cleanservenergy.com with the position clearly stated as the subject of the email. Note
Apply via :
careers@cleanservenergy.com