Duties and Responsibilities
Develop and implement financial policies, procedures,
and controls to ensure accurate and timely financial reporting.
Prepare and analyze financial statements, budgets,
forecasts, and financial performance reports.
Monitor and manage cash flow, liquidity, and working
capital to optimize financial resources.
Oversee the company’s tax planning, compliance, and
reporting activities.
Coordinate with external auditors and regulatory
authorities to ensure compliance with financial regulations and reporting
requirements.
Prepare monthly, quarterly and annual reporting
Lead the annual budgeting process and ensure
alignment with strategic objectives and the group’s SOP.
Collaborate with department heads to develop accurate
and realistic departmental budgets.
Monitor budget performance, analyze variances, and provide recommendations for corrective actions.
Manage the company’s banking relationships, including
cash management, loan facilities, and foreign exchange transactions.
Develop and implement effective risk management
strategies to safeguard company assets and mitigate financial risks.
Ensure compliance with insurance requirements and
oversee insurance claims processes.
Prepare and submit accurate and timely financial
reports to management, stakeholders, and regulatory authorities.
Ensure compliance with accounting standards, tax
laws, and other applicable financial regulations.
Maintain proper documentation and records of
financial transactions, contracts, and agreements
In charge of procurement and management of office
supplies.
Develop and implement administrative policies and
procedures to improve efficiency and effectiveness.
In charge of inventory management.
Key requirements, skills and qualifications
CPAK AND BCOM FINANCE
To oversee End to End Finance
and Accounting Operations
It is a very busy organization.
Strong knowledge of financial management principles,
accounting standards, and regulatory requirements.
Proficiency in financial analysis, budgeting,
forecasting, and financial reporting.
Excellent understanding of tax laws, treasury
management, and risk assessment.
Familiarity with ERP systems and financial software
for efficient financial management and reporting.
Strong analytical and problem-solving skills with the
ability to make sound financial decisions.
Excellent leadership, communication, and
interpersonal skills.
Ability to work effectively in a fast-paced and
dynamic environment.
How To Apply
If you meet the above qualifications, skills and
experience send CV urgently to recruitment@britesmanagement.com
quoting the job title as the subject line in the mail
