View Jobs at Triumph Power & Gas Systems |
Full Time |
Lagos Lekki |
Posted 3 years ago |
JOB TITLE: Head, Finance & Corporate Planning
JOB LOCATION: Lekki, Lagos
JOB DETAILS:
- Accountable for setting the strategy and driving the delivery of the daily operation of the finance function, including treasury, budgeting, auditing, tax, accounting, capital purchasing, risk management, long-term forecasting and insurance activities.
- Guiding senior executives in making sound business decisions in the long and short term.
Duties & Responsibilities
- Business partnering with relevant managers within the company in order to provide financial support and information
- Overseeing preparation of the management accounts pack, inclusive of the monthly P&L and balance sheet Proficiency in SAP Business one
- Preparation of statutory accounts
- Accountable for setting the strategy and driving the delivery of the daily operation of the finance activities, including treasury, budgeting, auditing, tax, accounting, capital purchasing, risk management, long-term forecasting and insurance activities
- Deliver recommendations relating to financial and tax considerations of investments, as well as other business transactions
- Ensure financial reports on SAPB1 up to date
- Assume super user status for SAPB1
- Oversee the company’s accounting systems and procedures, and ensure they are up-to-date and in compliance with all applicable statutory and regulatory requirements
- Provide advice and review across the function related to compliance with appropriate statutory and regulatory requirements
- Produce annual budgets by November 30th every year
- Monthly Management and performance monitoring reports
- Liase with Auditors to ensure annual audits are done in time to avoid any penalties
- Financial management, including the preparation, issue and filing of quarterly and annual audited financial statements and reports
- Manage and track the company’s funds, assets and investments, and periodically issue reports on current and projected financial conditions
- Analyse general business and financial conditions to assess their impact on the company’s policies, operations and profitability
- Identify and secure project financing, including negotiation, structuring and documenting packages and agreements
- Identify and implement interventions to minimise the company’s tax liabilities
- Leadership and mentoring of a high-performance team
- Manage cash balances and ensure cash flows are adequate to allow business unit to operate effectively
- Forecast cash payments and anticipate challenges arising from limited cash flow
- Maintain relationships with banks and negotiate interest rates on deposits, APGs and bonds for various projects within business units
- Work closely with the Managing Director to prepare budgets and track profit / loss performance of business unit on consolidated basis
- Liase with Tax authorities /consultants to achieve efficient tax structure and prompt returns to avoid penalties
- Organise annual audits
- Ensure compliance with all regulatory bodies both financial and operational
- Identify new business opportunities and report on this
- Ensure adequate funding for company operations and growth plans
- Produce monthly financial statements, cashflow statement, bank reconciliation, Performance ratios and Age analysis reports
- Ensure optimal Corporate financial structure
- Review all transactions for adequate financial return and risk mitigation.
- Ensure adequate funding for company operations and growth plans
- Complete tax filings and deal with matters relating to the FIRS and IRS of various states.
- Maintain a system of policies and procedures that impose an adequate level of control over the activities of the finance department.
Education & Experience
- First Degree in Accounting or Finance or any related discipline
- Masters degree in Finance or related discipline is desirable
- Professional certification from a recognized Accounting Body (ICAN, ACCA, CIMA, CPA)
- Minimum of 5 years Accounting or Finance experience managing the financial accounts of a company
- Knowledge of projects management /costing – capital budgeting/cash flow/funds flow analysis
- Understanding of bid management, tendering and project costing principles, with analytical and interpretive abilities
- Proficient with statutory provision with respect to the tax management, pension & other relevant statutory requirement.
Knowledge:
- Accounting & Finance
- Asset Management
- Business Process Improvement
- Cashflow Management
- Financial Reporting
- Payroll Management
- Tax Management
- Budgeting
- Commercial and business awareness
- Procurement and Supply Chain Management
Skills / Physical Competencies:
- Analytical skills
- Negotiation skills
- People Management
- Good communication skills
- Management skill
- Change management
- Report writing skills
- Interpersonal skills
- Relationship Management
- Good time-management skills
- Eye for details
Behavioural Competencies:
- Integrity
- Fairness
- Consistent
- Accuracy
- Independent
- Financial Intelligence
Quality / Technical Competencies:
- Proficient with MS Office applications.
- High proficiency in MS Excel
- Computer and Information technology appreciation
- Proficiency in SAP Business one.
Apply Now
Deadline: November 30, 2021
Job Features
Job Category | Finance Officer - Receivables |