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Job Description
Conduct detailed financial modeling and analysis to support medium to long-term strategies for the business
Responsibilities
- Sourcing for equity and debt financing for short and long-term needs
- Conduct detailed financial modeling and analysis to support medium to long-term strategies for the business
- Ensure proper strategy formulation and implementation to achieve set targets
- Develop an overall financial strategy as well as support capital request and budgeting processes
- Ensure compliance with performance measures that support the company’s strategic direction
- Define the proper level of liquidity the company is expected to maintain and supervise all treasury operations including related transaction postings and bank reconciliations
- Develop, analyze, and use financial forecasts (models) to support the financial decision-making process
- Define and negotiate terms with the company’s financiers to meet the company’s needs
- Maintain in-depth relations with all members of the management team in addition to providing support to all finance teams as appropriate
- Maintain effective interaction with financial and industry regulators
- Liaising with all financing partners of the company to ensure effective relationship management between both parties
- Developing corporate and business strategy for the company with the aim of proffering solutions that will optimize shareholder wealth/value
- Monitoring the company’s financials for compliance with debt and equity covenants and reviewing the company’s financial ratios to align with standards/industry benchmarks.
- Provide support in generating accurate and timely Management Accounts/Reports with all relevant supporting schedules on/or before the 8th working day of the new financial period
- Assist in the preparation of the Quarterly and Annual Reports and manage its internal and external review
- Other accounting, finance, and strategy assignments as determined by the MD/CEO
Qualifications
- B.Sc. (Accounting/Finance )
- MBA or master in Finance/Strategy will be added advantage
- Professional Certification will be an added advantage
- 5-7 years of experience in the banking/financial services industry performing a managerial role in corporate/investment banking
- Time management and ability to meet deadlines.
- Excellent verbal and written communication skills.
- Strong organizational skills and ability to multitask.
- Problem-solving and decision-making skills
- Strong Analytical and Technical Skills
- Performance and result-oriented
- Experience in taxation, financial and capital markets transactions, financial securities, international finance and taxation, regulatory requirements, and business analysis
Location: Lagos, Nigeria.
For More Information: HEAD CORPORATE FINANCE AND STRATEGY