Sigma Consulting Group Finance Manager Jobs in Nigeria

Sigma Consulting Group Finance Manager Jobs in Nigeria


Job Objectives

  • Manage and oversee the finance functions of the organization.

  • Maximize bottom line opportunities for organizational businesses

  • Ensure development, implementation and continuous review of financial policies and procedures to ensure existence of internal controls.

  • Provide maximum leadership support in treasury management, planning and reporting

  • Managing and investing large monetary funds on behalf of the organization.

  • Enable the company's leaders to make sound business decisions and meet the company's objectives.

  • Steer the financial direction of the business, and undertakes all strategic financial planning and reporting to stakeholders.

  • Analyze every day liquidity activities and subsequently provide advice and guidance to upper management on future financial plans.

  • Develops/coordinates the liquidity cycle of all entities of the company.

  • Understand and manage all aspects of cash flow, prepare forecasted weekly/monthly cash requirements and execute management financing decisions.

  • Coordinate the preparation of bank reconciliation statements to ensure all items are captured correctly and display understanding of the Company's bank reconciliation process based on the accounting package.

  • Remain current regarding all accounting developments relevant to the Company's financial reporting and managing the implementation of any new pronouncements.

  • Provide any other support and analysis as may be required by the CFO.

  • Forecast upcoming working capital needs of the company.

  • Build process domain expertise across global function(s) work with key stakeholders to deliver business goals and objectives in Amazon Energy Group.

    Responsibilities

  • Ensure that the subsidiary companies' Finance/Accounts and treasury functions are consistent with Internationally Accepted Accounting Practices and with the Group Accounting Policy

  • Provide everyday cash position, estimate and analysis.

  • Elicit and analyze proposals for banking and financing services

  • Provide everyday cash position, estimate and analysis.

  • Ensure timely completion and submission of periodic and annual financials

  • Ensure that the unit's Treasury functions are carried out in line with the company's Policy - proper investment of surplus funds

  • Manage an appropriate finance control framework and ensure consistent application across the organization

  • Manage collection, handling & payout of cash.

  • Monitor bank transactions & bank relationship management.

  • Develop strategies to optimize the company's cash position

  • Provide financial advice on the company's short, medium and long term cash/ funding/ risk situation to the Chief Operating Officer and Management

  • Implement Management financial policies in line with
    approved financial procedures and generally accepted Financial / Accounting practices and statutory requirements

  • Facilitate annual budgeting and forecasting for the company, across all subsidiaries

  • Review all cash flow statement to ensure accuracy and consistency

  • Liaise with financial planning & reporting manager

  • Supervise record keeping, daily reconciliation & booking all cash and bank transactions into accounting software.

  • Manage bank and creditor relationship.

  • Manage fund raising, liquidity assurance, investments appraisal and capital allocation.

  • Assist in the preparation of monthly management accounts

  • Prepares the monthly, quarterly and yearly financial reports and ensure the accuracy and efficiency of IFRS reporting.

  • Support in the preparation of balance sheet reconciliation and provide monthly reconciliation on selected accounts.

  • Manage all company loans and borrowings.

  • Develop, monitor and upgrade Treasury department budget.

  • Prepare analysis of Company's liquidity position and advise the Financial Accountant on the usage of Free Cash at her disposal.

    Qualifications

    Education:

  • Must possess at least a Bachelor's Degree in Accounting, Finance, Economics or any related discipline.

  • Master's Degree and Professional Certification (ICAN, ACCA, etc.) would be an added advantage.

    Experience:

  • Must have a minimum of 7 years post-graduation experience with at least 3 years in a senior finance / treasury position in a reputable company preferably in an Oil / Gas company.

    How to Apply

  • For more information and job application details, see; Sigma Consulting Group Finance Manager Jobs in Nigeria




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