Group Finance Manager
Job Title: Group Finance Manager
Job Summary:
To provide oversight over the Finance Department towards the efficient management of the Group’s financial resources.
Duties and Responsibilities:
- Design and development of suitable reports for
- Directly assisting on all strategic matters as they relate to budgets, management, cost benefit analysis, forecasting needs and the securing of new
- Developing and implementing appropriate and relevant organizational policies as
- Overseeing the financial operations/ activities of all related companies, both local and foreign
- Preparation and review of monthly/quarterly Management Accounts and Annual Financial Statements for accuracy and timely submission to management/Board of
- Appraisal and management of Capital / Project Expenditure; including short- and long- term Cash Flows and Revenue and Expenditure budgets for all related
- Maintenance and monitoring of daily/weekly/monthly cash balances and cash forecasts, as appropriate to ensure sufficient working capital is available to finance the Companies day- to-day operations and to meet its financial
- Ensuring that appropriate and complete monthly management accounts and Annual Financial Statements for all related companies are available at the specified timeline to assist management in making timely business decisions: and for other stakeholders of the companies g. Banks, Board of Inland Revenue, etc.
- Developing and or updating existing Financial/Accounting policies and procedures, as necessary in line with changes in the Companies operating
- Preparing Financial Reports for all Subsidiaries and foreign Preparing consolidated reports for the Group of Companies.
- Assisting in formulating the Company’s Strategic /Business and or Financing Plans, as appropriate for future guidance and
- Contracting outsourced services for tax preparation, auditing, banking, investments and other financial
- Developing appropriate performance indicators to support and interpret performance measurement that support the company’s strategic
- Assisting the management team in implementing operational best
- Assisting management in understanding and mitigating key elements of the company’s exposure to risks.
- Assist management in the Design, Implementation, and monitoring appropriate Internal Control Systems for all related companies and to monitor its effectiveness on a regular
- Maintenance of a schedule of Insurances and ensuring the all of the Companies Assets are adequately covered, including workmen’s compensation, life insurance
- Ensuring that the company compiles with all legal, statutory and regulatory
- Maintaining relations with external auditors and investigating their findings and
- Arranging for debt and equity
- Interpretation of Financial Statements
- Preparation of Annual Budgets for approval by the
Qualifications and Requirements:
- ACCA Level 3 qualification
- Proficiency in Peachtree Accounting System and Microsoft Suite
- Knowledge of TTPAY system will be an asset
- At least ten (10) years’ senior accounting experience
- At least five (5) years’ experience performing in a managerial role
REF:cbh
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