Not specified
Details:Duties and Responsibilities:Head of Finance responsibilities include creating forecasting models, assessing risk in investments and ensuring all accounting activities comply with regulations. To be successful in this role, you should have experience crafting financial strategies and managing accounting teams.Ultimately, you will maintain our company’s financial health and increase profitability in the long run.Responsibilities will include the following:
Forecast monthly, quarterly and annual results
Approve or reject budgets
Conduct risk management
Evaluate and advise on investments
Supervise Accounting Teams
Allocate resources and manage cash flows
Conduct profit and cost analyses
Develop secure procedures to maintain confidential information
Ensure all accounting activities comply with financial regulations
Consult senior management and board members about funding options
Recommend cost-reduction strategies
Requirements
Age preference: 30 – 35 years
Minimum of 5 years’ experience
Proven work experience as a Financial Controller or similar role
In-depth understanding of cash flow management, bank reconciliation and bookkeeping
Hands-on experience with budgeting and risk management
Excellent knowledge of data analysis and forecasting models
Proficiency in accounting software
BSc/BA in Accounting, Finance or relevant field
MSc/MBA or relevant certification (e.g. ACCA/ICAN) is a plus
Skills and Attributes
Strong analytical and decision-making skills
Creative thinking and ability to proffer solutions to address financing challenges
Strong systems, process and best practice experience
Leadership skills with High level of integrity
Excellent presentation and delivery skills
Excellent written and verbal communication skills
SPECIFIC RESPONSIBILITIES Strategic Functions
Provide strategic financial analysis and leadership on decision-making issues affecting the Company (i.e. growth, new markets, and evaluation of potential alliances, employee benefits, retirement plans, and investments).
Undertake financial analysis periodically, to assist the Senior Management Team in evaluating profitability of income streams and potential for cost efficiencies
Would be required to enhance and/or develop, implement and enforce Finance policies and procedures of Company by way of systems that will improve the overall operation and effectiveness of the company.
Accounting/Finance Management:
Prepare and send accurate, complete and timely financial and management reports, which will include weekly/monthly/quarterly management accounts and balance sheet control
Oversee, monthly reconciliation of all Company Bank accounts
Treasury & Working Capital Management – manage authorization of weekly electronic and manual payments and management of foreign exchange requirements.
Liaison with bankers on loan facilities and other correspondence.
Develop a reliable cash flow projection and facilitate cash management policies that balance receivables collection with payables and include a minimum cash threshold to meet operating needs.
You will prepare the cash flow statements, income and expenditure accounts, tax returns and balance sheet.to be presented and a monthly performance review session
Tax Matters To ensure that the company is in compliance with all statutory requirements including:
Payment and filing of VAT returns,
PAYE and Pension remittance
Withholding deduction and remittance
Corporate Income Tax- Liaising with auditors on the payments
Budget
Drafting and management of annual budget
Monitor expenditure to ensure adherence to the company’s fiscal year budget.
Continuously improve on the budgeting process through engagement of other departmental heads on financial issues impacting department budgets.
Analyze budget variances and consolidate the financial statement for further analysis
Interface with Sales Unit
Ensure that sales invoices are raised on all sales orders generated by the sales executives after confirmation of lodgement into bank or authorisation of credit sales by the approving authority.
Ensure that receipts are raised on confirmation of lodgement into bank accounts
Audit: Ensure timely submission of all external reports such as Audit/Tax Reports etc.
Payroll: Supervise monthly payroll operation, PAYE and management of employer stakeholder pension plan.
Apply via :
Applicants should send CVs to adeyinka.adeoti@enzokrypton.com
https://www.myjobmag.com/job/111375/head-of-finance-enzo-krypton-and-company