Our Client in the energy(power generation) Industry seeks the
services of a Finance Manager.
Finance Manager assists the CFO for Financial strategy development and
execution, he/she is responsible for ensuring the integration of both operational
and financial measures aimed at efficiency, growth and profitability of the
business in the long-term. The position incumbent has charge of day-to-day
finance and accounting transactions and ensures effective Treasury (Assets
& Liabilities management) and liquidity positions are maintained.
Budgeting, financial performance monitoring and reporting are also key
responsibilities of the function.
and articulates a comprehensive Financial and Risk Management strategy .
Articulate the long-term financial strategy of the company into long term
strategic plans and forecasts
as chief advisor and strategist providing needed support to the CFO, employees
and Board with respect to the identification of Financial risk, and the
resolution of attendant issues,
with external internal and external stake Financial Services organizations, as
may be required, to ensure the business remains adequately funded in terms of
Debt, Equity and Working Capital requirements.
the companys outreach activities and referral networks to ensure valuable and
effective financial partnerships and alliances are forged that facilitate
growth and business expansion requirements over time.
the formulation and execution of corporate level investment and financial management/financing
programs for enhancing business growth and operating efficiency.
financial targets (cash flow, required return on capital) and ensures the
sourcing of external debt and equity financing required to support the long-term
growth and stability of the Company.
and maintains an effective financial management framework covering treasury,
tax planning, financial control and management information systems (MIS)
processes and which support mission and business objectives and enable the
effortless production of relevant periodic reports.
the effective integration of the Company's strategic plan with its financial
management strategies and in so doing regularly interfaces with the Group Office
and individual operating entities within the Group to determine areas of mutual
collaboration towards the achievement of Group financial and business
and implements effective Finance and Accounting systems, processes, procedures
and policies which provide effective controls in the deployment and utilisation
of capital and assets.
the budgetary process to ensure all budgets adequately reflect periodic
resource requirements and revenue estimates for the business; co-ordinates the
periodic financial performance monitoring and reporting activities of the
all finance & accounting transactions and ensures processes/procedures are
effective and comply with regulatory and statutory requirements; monitors the
Company's financial books/position and signs off on any adjustments to ensure
effective controls. Ensures the provision of timely, comprehensive and accurate
Management Accounts that enable decision making processes.
Assets and Liabilities position to ensure current knowledge of the
Company's cost of funds and product pricing requirements; oversees regular
banking and treasury transactions and ensures adequate funds/liquidity levels
are maintained to support daily business operations. Ensures surplus funds are
the preparation and dispatch of periodic statutory returns to regulatory
authorities as required.
& Investment Management Project Finance
and Liabilities Management Oral & Written Communication
• Good first degree in any of the following disciplines: (Finance,
Accounting, Business Administration, Economics, Actuarial Science), Relevant
• MSc. Finance is an added advantage or MBA.
7years cognate experience in a similar industry.
Bachelor's Degree/HND in Finance.