Our Client
Our client a construction company seeks to employ a Finance Manager.
Key Responsibilities:
- Manage treasury cash flow and liquidity across the organization.
- Conduct investment analysis capital allocation and ROI evaluations for construction assets and projects.
- Lead financial planning and analysis (FP&A) including forecasting budgeting and variance reporting.
- Oversee financial reporting statutory compliance and tax-related matters in line with construction industry regulations.
- Review and advise on contractual and commercial terms (progress billing retention variations claims).
- Implement and optimize accounting systems and ERP tools.
- Develop financial models and conduct scenario analysis to support decision-making.
- Mentor and supervise finance team members.
Requirements
- Minimum of 5 years experience in finance roles with at least 3 years in a managerial or supervisory capacity preferably within the building construction or infrastructure sector.
- Strong experience in treasury cash flow and liquidity management.
- Solid understanding of investment analysis capital allocation and return on investment for construction assets and projects.
- Expertise in financial planning and analysis (FP&A) including forecasting variance analysis and financial reporting.
- Working knowledge of contractual and commercial terms in construction projects (e.g. progress billing retention variations and claims).
- Strong understanding of taxation statutory compliance and regulatory requirements relevant to the construction industry.
- Proficiency in accounting and ERP systems with strong Excel and financial modelling skills.
- Excellent leadership stakeholder management and decision-making skills.
Our ClientOur client a construction company seeks to employ a Finance Manager.Key Responsibilities:Manage treasury cash flow and liquidity across the organization.Conduct investment analysis capital allocation and ROI evaluations for construction assets and projects.Lead financial planning and analy...
Our Client
Our client a construction company seeks to employ a Finance Manager.
Key Responsibilities:
- Manage treasury cash flow and liquidity across the organization.
- Conduct investment analysis capital allocation and ROI evaluations for construction assets and projects.
- Lead financial planning and analysis (FP&A) including forecasting budgeting and variance reporting.
- Oversee financial reporting statutory compliance and tax-related matters in line with construction industry regulations.
- Review and advise on contractual and commercial terms (progress billing retention variations claims).
- Implement and optimize accounting systems and ERP tools.
- Develop financial models and conduct scenario analysis to support decision-making.
- Mentor and supervise finance team members.
Requirements
- Minimum of 5 years experience in finance roles with at least 3 years in a managerial or supervisory capacity preferably within the building construction or infrastructure sector.
- Strong experience in treasury cash flow and liquidity management.
- Solid understanding of investment analysis capital allocation and return on investment for construction assets and projects.
- Expertise in financial planning and analysis (FP&A) including forecasting variance analysis and financial reporting.
- Working knowledge of contractual and commercial terms in construction projects (e.g. progress billing retention variations and claims).
- Strong understanding of taxation statutory compliance and regulatory requirements relevant to the construction industry.
- Proficiency in accounting and ERP systems with strong Excel and financial modelling skills.
- Excellent leadership stakeholder management and decision-making skills.
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