Finance Manager

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profile Job Location:

Lagos - Nigeria

profile Monthly Salary: Not Disclosed
Posted on: 16 hours ago
Vacancies: 1 Vacancy

Job Summary

1. Strategic Planning Budgeting and Forecasting:
Partner with business heads to translate strategic objectives into financial outcomes
Support evaluation of commercial opportunities and financial risks including those related to new products markets investment offerings mandates and corporate actions
Provide scenario modelling financial impact analysis and business case evaluations for strategic initiatives
Support preparation of annual financial and operating budgets including supporting forecasting documentation and justification
Provide a suitable framework for effective budget monitoring and reporting including variance analyses between actual and projected performance (income and expenditure)
2. Month-End Financial Reporting:
Ensure timely preparation of monthly Management accounts including Statement of Financial Position Statement of Profit or Loss Statement of Cash Flows notes to financial statements supporting schedules and other relevant financial reports
Summarize and interpret current and projected company financial position on a
timely basis in line with published monthly financial schedules
Maintain General Ledgers including posting of month-end Journals GL reviews and detailing assets and liabilities
Ensure all transactions are appropriately captured /maintained in relevant databases.
Regularly review expenses revenue and other components of the annual budget to determine the accurate financial position and performance of the organization and recommend suitable actions
Regularly review the fixed assets register to ensure that entries are accurate and up to date
3. Expense/Payables Management:
Ensure payments are made to and/or on behalf of clients suppliers and other third parties on a timely basis and in accordance with the applicable Service Level
Agreement

Ensure all transactions for the company and on behalf of clients are properly
processed and captured in the appropriate accounting codes
4. Bank/Intercompany Reconciliation:
Review all reconciliations of general ledger accounts to applicable sub ledgers and all intercompany accounts reconciliations
Prepare monthly bank account reconciliations for applicable accounts and ensure that all reconciling items are promptly cleared
Supervise and coordinate all banking activities including prompt banking of all
cheques and ensuring appropriate cash (local & foreign) is available to meet the
companys needs
Coordinate the opening of bank accounts as required
5. Statutory Remittance:
Remit all statutory payroll deductions (PAYE and pensions) to the appropriate
authorities within the stipulated period
Ensure the correct treatment of withholding tax and VAT in accounts and ensure
prompt remittance to the appropriate authorities to avoid any penalties
Ensure corporate income tax compliance including managing all matters relating to tax queries and audits
6. Working capital management:
Monitor working capital account cash management receivables and vendor
settlement management
Partner with the investment department in the investment of company funds
7. Regulatory reporting:
Ensure prompt preparation & filling of periodic regulatory reports to SEC and other relevant authorities
8. Stakeholder Management & Collaboration
Build productive relationships with cross-functional teams (Operations Sales HCM etc.) as needed
Translate financial insights into actionable recommendations for non-finance
stakeholders
Lead finance input in business reviews steering committees and performance
meetings



  • Strong analytical and financial modelling skills
  • Commercial acumen with a strategic mindset
  • Deep commercial understanding of capital markets asset management deal making and regulatory environments
  • Ability to interpret data distil insights and influence decision-making
  • High attention to detail with a problem-solving orientation
  • Excellent communication and presentation abilities
  • Strong stakeholder engagement and relationship management

Bachelors degree in finance Accounting Economics or related field from an
accredited university
Professional certification in finance and/or accounting from a recognized
professional body (e.g. CFA ACCA ICAN etc.) preferred
Advanced degree in Finance or Business Management (e.g. MBA MSc Finance etc.) preferred
7 years experience in related field (i.e. Financial Planning & Analysis (FP&A)
Investment Finance or Business Partnering within financial services asset
management or banking)
Proficiency in financial systems and advanced Excel / BI tools




Required Experience:

Manager

1. Strategic Planning Budgeting and Forecasting: Partner with business heads to translate strategic objectives into financial outcomes Support evaluation of commercial opportunities and financial risks including those related to new products markets investment offerings mandates and corporate action...
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Key Skills

  • Cognos
  • Forecasting
  • Hyperion
  • Dealership Experience
  • QuickBooks
  • Accounting
  • Corporate Finance
  • Financial Analysis
  • Financial Modeling
  • Budgeting
  • Financial Management
  • Financial Planning

About Company

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Asset & Resource Management Company Limited (ARM) was founded in 1994 as an asset management firm.We provide a broad range of unique wealth creation services by offering traditional asset management services as well as alternative investments through our private funds business. ARM cu ... View more

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