B.Sc. Degree in accounting and finance with professional qualification in accountancy [ICASLyACCA Qualified]
DUTIES AND RESPONSIBILITES
Negotiating with banks and other financial institution to raise required capital & funds for project & working capital requirements.
To prepare annual budgets, profitability statements & management accounts.
To prepare supportive cash flows & sources & application funds statements for the projected & actual performance of the companies.
To prepare consolidated accounts for the group & profitability.
Identification of non-viable SBU's in the group & to advice solutions.
Monitoring & reporting of daily, weekly & monthly cash payments for required budgetary allocations.
Develops financial strategies by guiding the client to establish financial goals; matching goals to the situation with appropriate financial plans
Accomplishes organization goals by accepting ownership for accomplishing new and different requests; exploring opportunities to add value to job accomplishments.
QUALIFICATIONS AND REQUIREMENTS
B.Sc. Degree in accounting and finance with professional qualification in accountancy [ICASL ACCA Qualified]
Should possess more than 5 years of experience in a similar position; experience with operations preferred.
Have a flair for numbers, work well with people, aggressively anticipate impacts of workload/issues to team deadlines and have a very positive work attitude including willing to work some longer hours during peak periods.
Strong experience in handling treasury and taxes of the Group.
Strong negotiation skills & the ability to influence people
Ability to make quick but rational decisions, plan and prioritize and the potential to lead & motivate people