- Develop and manage comprehensive financial forecasts budgets and long-term financial plans (35-year projections)
- Conduct variance analysis comparing actual performance to budget and forecast; identify trends risks and opportunities
- Prepare monthly quarterly and annual financial reports for the Managing Director
- Build and maintain financial models to support business decisions (pricing strategy new projects capital investments expansion)
- Provide scenario analysis and sensitivity modelling for strategic initiatives
- Monitor key financial metrics (cash flow profitability working capital debt service coverage) and provide actionable recommendations
- Identify evaluate and secure optimal financing options including bank loans asset financing working capital facilities equity and alternative capital sources
- Manage relationships with banks financial institutions and potential investors
- Prepare compelling business cases financial projections and loan applications to support fundraising efforts
- Negotiate favourable terms for credit facilities loans and other financing arrangements
- Monitor debt covenants and ensure compliance with lender requirements
- Maintain robust internal controls and financial governance frameworks
- Evaluate financial viability of new projects contracts and business opportunities
- Participate in strategic planning and contribute to long-term business development
- Bachelors degree (./HND) in Accounting Finance Economics Business Administration or related field
- Professional Certification (Required):ACA ACCA CFA ACMA/CGMA
- Minimum 6-7 years of progressive finance experience with at least 3 years in financial planning & analysis FP&A treasury or strategic finance roles
- Basic understanding ofengineering construction manufacturing or oil & gas sectors
- Experience in SME or mid-sized corporate environments where strategic finance professionals wear multiple hats
- Ability to understand business operations and translate financial insights into commercial strategy
- Advanced Excel and financial modelling tools
- Strong analytical skills to interpret complex financial data and identify trends
- Financial modelling forecasting & budgeting skills
- Working capital and cash flow management
Required Experience:
Manager
Develop and manage comprehensive financial forecasts budgets and long-term financial plans (35-year projections)Conduct variance analysis comparing actual performance to budget and forecast; identify trends risks and opportunitiesPrepare monthly quarterly and annual financial reports for the Managin...
- Develop and manage comprehensive financial forecasts budgets and long-term financial plans (35-year projections)
- Conduct variance analysis comparing actual performance to budget and forecast; identify trends risks and opportunities
- Prepare monthly quarterly and annual financial reports for the Managing Director
- Build and maintain financial models to support business decisions (pricing strategy new projects capital investments expansion)
- Provide scenario analysis and sensitivity modelling for strategic initiatives
- Monitor key financial metrics (cash flow profitability working capital debt service coverage) and provide actionable recommendations
- Identify evaluate and secure optimal financing options including bank loans asset financing working capital facilities equity and alternative capital sources
- Manage relationships with banks financial institutions and potential investors
- Prepare compelling business cases financial projections and loan applications to support fundraising efforts
- Negotiate favourable terms for credit facilities loans and other financing arrangements
- Monitor debt covenants and ensure compliance with lender requirements
- Maintain robust internal controls and financial governance frameworks
- Evaluate financial viability of new projects contracts and business opportunities
- Participate in strategic planning and contribute to long-term business development
- Bachelors degree (./HND) in Accounting Finance Economics Business Administration or related field
- Professional Certification (Required):ACA ACCA CFA ACMA/CGMA
- Minimum 6-7 years of progressive finance experience with at least 3 years in financial planning & analysis FP&A treasury or strategic finance roles
- Basic understanding ofengineering construction manufacturing or oil & gas sectors
- Experience in SME or mid-sized corporate environments where strategic finance professionals wear multiple hats
- Ability to understand business operations and translate financial insights into commercial strategy
- Advanced Excel and financial modelling tools
- Strong analytical skills to interpret complex financial data and identify trends
- Financial modelling forecasting & budgeting skills
- Working capital and cash flow management
Required Experience:
Manager
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