Leading the development and implementation of the financial strategy to meet business objectives
Developing and implementing functional policies, processes and procedures
Developing and determining company financial requirements and provide guidelines on deployment including the preparation of company budgets
Planning and directing financing needs, working capital, cash and cost management to meet company objectives
Co-coordinating the annual auditing process, ensuring implementation of audit recommendations and ensuring effective internal controls
Monitoring and ensure compliance with company policies, tax and other statutory requirements
Responsible for key performance indicators mainly operating profit, trade receivables, bank borrowings, financial projections, cash flow management, inventory and relationship management with financial institutions and other key stakeholders
Managing analysis of revenues / expenditure
Developing and providing ad hoc financial information to end users for business decision making
Determining and coordinating financial reporting and communication requirements both internally and externally
A bachelor’s degree in commerce/ Finance or equivalent is a requirement
CPA K qualification or equivalent is a requirement
Over eight (8) Years relevant experience three (3) of which MUST be in a management position.
A mature person, aged 30 years & above.
Ability to handle demanding situations & work with minimum supervision.
Person of unquestionable integrity.
Financial Acumen; Budget formulation and monitoring; Financial Analysis and Reporting; Capacity building others; Achievement; Analytical Thinking; Customer orientation; Entrepreneurship; Flexibility; Holding People accountabl
Method of Application
If you meet the above qualifications, send applications with a detailed CV, three (3) referees & indicate Current and Expected Gross Salary to firstname.lastname@example.org not later than Close of Business March 27, 2023.