Key Responsibilities
Cashflow & Financial Reporting
- Manage weekly rolling cashflow forecasts and reviews
- Prepare monthly and quarterly cashflow reports
- Provide insights to support liquidity and financial planning
Accounts Payable (AP)
- Ensure accurate posting of vendor invoices in ERP
- Perform regular creditor analysis (weekly & monthly)
- Plan and execute vendor payments
- Coordinate with banks on FX transactions and payments
Accounts Receivable (AR) & Collections
- Monitor debtor balances and drive collections
- Collaborate with internal teams (Sales BD Delivery) and clients
- Resolve billing and payment disputes
Unbilled & Revenue Tracking
- Conduct monthly unbilled analysis and reporting
- Work with internal teams to resolve invoicing issues
- Follow up with clients on purchase orders when needed
Prepayments & Audit
- Monitor prepayments and advances ensuring timely reconciliation
- Support external audit processes including documentation and auditor engagement
Operational Excellence
- Identify and implement process improvements across finance operations
- Leverage systems and tools to improve efficiency and data accuracy
Leadership & Collaboration
- Lead and develop the finance team
- Collaborate cross-functionally to support business goals
Person Specifications
- Bachelors degree in Finance Accounting or a related field. Masters degree will be an added advantage
- Professional qualification (e.g. CPA ACCA CIMA) is preferred
- 68 years of relevant experience in finance operations accounting or financial management
- Prior experience in a team lead or supervisory role is preferred
- Experience in IT telecommunications or services industry is an advantage
- Proven experience in:
- Cash flow forecasting and working capital management
- Accounts Payable and Accounts Receivable processes
- Financial reporting and month-end close activities
- Strong understanding of Financial accounting principles and reporting standards
- Working capital management (cash flow AP AR collections)
- Familiarity with ERP systems (e.g. SAP Oracle or similar)
- Exposure to FX transactions and treasury operations
- Good knowledge of audit processes and internal control
- Strong analytical and problem-solving skills with attention to detail
- Ability to manage stakeholders across finance and business teams
- Good communication skills (written and verbal)
- Strong organizational and time management skills Proficiency in Excel and financial reporting tools
- High ethical standards and integrity with a commitment to transparency and accountability
- Proactive and innovative approach continually seeking ways to improve financial and supply chain processes
- Customer-focused mindset ensuring financial and supply chain practices align with business needs and enhance overall performance
Key Responsibilities Cashflow & Financial ReportingManage weekly rolling cashflow forecasts and reviewsPrepare monthly and quarterly cashflow reportsProvide insights to support liquidity and financial planning Accounts Payable (AP)Ensure accurate posting of vendor invoices in ERPPerform regular cred...
Key Responsibilities
Cashflow & Financial Reporting
- Manage weekly rolling cashflow forecasts and reviews
- Prepare monthly and quarterly cashflow reports
- Provide insights to support liquidity and financial planning
Accounts Payable (AP)
- Ensure accurate posting of vendor invoices in ERP
- Perform regular creditor analysis (weekly & monthly)
- Plan and execute vendor payments
- Coordinate with banks on FX transactions and payments
Accounts Receivable (AR) & Collections
- Monitor debtor balances and drive collections
- Collaborate with internal teams (Sales BD Delivery) and clients
- Resolve billing and payment disputes
Unbilled & Revenue Tracking
- Conduct monthly unbilled analysis and reporting
- Work with internal teams to resolve invoicing issues
- Follow up with clients on purchase orders when needed
Prepayments & Audit
- Monitor prepayments and advances ensuring timely reconciliation
- Support external audit processes including documentation and auditor engagement
Operational Excellence
- Identify and implement process improvements across finance operations
- Leverage systems and tools to improve efficiency and data accuracy
Leadership & Collaboration
- Lead and develop the finance team
- Collaborate cross-functionally to support business goals
Person Specifications
- Bachelors degree in Finance Accounting or a related field. Masters degree will be an added advantage
- Professional qualification (e.g. CPA ACCA CIMA) is preferred
- 68 years of relevant experience in finance operations accounting or financial management
- Prior experience in a team lead or supervisory role is preferred
- Experience in IT telecommunications or services industry is an advantage
- Proven experience in:
- Cash flow forecasting and working capital management
- Accounts Payable and Accounts Receivable processes
- Financial reporting and month-end close activities
- Strong understanding of Financial accounting principles and reporting standards
- Working capital management (cash flow AP AR collections)
- Familiarity with ERP systems (e.g. SAP Oracle or similar)
- Exposure to FX transactions and treasury operations
- Good knowledge of audit processes and internal control
- Strong analytical and problem-solving skills with attention to detail
- Ability to manage stakeholders across finance and business teams
- Good communication skills (written and verbal)
- Strong organizational and time management skills Proficiency in Excel and financial reporting tools
- High ethical standards and integrity with a commitment to transparency and accountability
- Proactive and innovative approach continually seeking ways to improve financial and supply chain processes
- Customer-focused mindset ensuring financial and supply chain practices align with business needs and enhance overall performance
View more
View less