Sorry, the offer is not available,
but you can perform a new search or explore similar offers:

Accounts Receivable Clerk Ii At Canonical

Your role will include ensuring accuracy of the A/R ledgers, process customer invoices in a timely and accurate manner, register customer payments, deal with...


From Canonical - Nairobi Area

Published a month ago

Senior Accountant - Payment And Provider Reconciliation – Healthcare Division At Madison Group Limited

Key Responsibilities and DutiesEnsure timely reconciliation, payments and sign off of healthcare service provider accounts.Maintaining strong working relatio...


From Madison Group Limited - Nairobi Area

Published a month ago

Accountant At Wartsila Eastern Africa Ltd

Your role and responsibilities:As an Accountant, your daily duties include but are not limited to:Review accounting records & monthly reconciliations.Ensure ...


From Wartsila Eastern Africa Ltd - Nairobi Area

Published a month ago

Accounts Payable At Summit Recruitment And Search

Key Responsibilities:Vendor Invoice Processing: Handling the timely and accurate posting of invoices into the accounting system.Reconciliation: Monthly recon...


From Summit Recruitment And Search - Nairobi Area

Published a month ago

Finance Manager

Finance Manager
Company:

Centum Investment Company Limited


Details of the offer

Job Brief :
You shall be responsible for managing the finance and accounting functions of the company which includes receivables & payables management, treasury/cash management, taxation management and financial reporting while ensuring high levels of compliance.

Responsibilities

Finance Accountabilities
Financial Planning and Analysis
This involves budgeting, forecasting, and management reporting to support Strategy implementation
Design Financial KPIs and other performance metrics to support performance management in strategy implementation

Support the budgeting process to come up with P&L, Balance Sheet and Cashflow, supported by in-depth sensitivity analysis of assumptions

Carry out period end checklist procedures, GL validation, and reconciliations to compile, analyze and prepare monthly, quarterly, and annual management accounts for presentation to the management and during BRM meetings

Ongoing forecasting and presentation of Financial performance to Management and Board for information-based decision making.

Financial and Statutory reporting
Ensure accurate and appropriate recording and analysis of revenues and expenses, assets and liabilities in the GL as per internal policies and in adherence to IFRSs

Prepare annual statutory accounts for audit and subsequent filing with CMA and the Registrar of Companies

Ensure accurate assessment of all taxes, adhere to tax filing deadlines for all transactional taxes (withholding tax, VAT, Income Tax and payroll taxes and deductions (PAYE, NSSF, NHIF, NITA)

Unit funds reporting
Compile and analyze financial information to prepare financial statements including monthly, quarterly and annual accounts for the Nabo Africa Unit Trust Funds

Ensure portfolio valuation in the GL is accurate and reconciling with Custodian Trustee records, Fund Management system/software (APX) on a monthly basis

Ensure fund reporting deadline are met

Prepare and submit to CMA quarterly financial statements for the unit funds

CMA reporting
Prepare and submit to CMA quarterly financial statements for the unit funds

Prepare and submit Nabo monthly risk-based capital adequacy reports to CMA

Monitor CMA liquid capital requirements

Prepare and submit Nabo quarterly financial information reports to CMA

Ensure all CMA reporting deadlines are met

Risk, controls, and compliance
Act as a custodian of NCL and Unit funds operating and financial policies, processes, and procedures

Establish and monitor the implementation and maintenance of the ICS

Update the ICS to considering the dynamic business environment while at the same time safeguarding the resources of NCL and unit funds

Liaise with the Group Internal Audit department to ensure that all outstanding Internal Audit issues are closed off

Finance operations
Manage General Administration including procurement, premises administration, Security, Board meetings preparation, fixed assets register, and any duties that will be assigned by senior management or the board

Business Operations
a) Keep the business running with effective Execution
Maintain a strict oversight on Client Management, Trades Management, Records Management, Financial Management, Compliance and Risk Management, and Reporting.
b) Implementation of the Enablement Framework
Clear Strategy

Annual Budgets

Efficient Processes & Policies

Strong Governance

3) Innovations & Change Management Development
Continuous improving Customer Experience

Increasing processes Automations

Special Projects

Partners

Job Requirements
Required education

Required relevant work experience

Required languages:


Source: Fuzu

Job Function:

Requirements

Finance Manager
Company:

Centum Investment Company Limited


Built at: 2024-04-26T09:52:40.055Z