Finance Manager Jobs at Non-Banking Financial Institution

Fosad Consulting Limited – Our client, a non-banking financial
institution is looking to recruit a
qualifed candidate who will amongst
other things bring innovative and strategic ideas that can drive the
company’s business.

We are recruiting to fill the position of:

Job Title: Finance Manager

Location: Lagos

Qualifications
 
Education:

  • Bachelor’s Degree in Banking and Finance, Economics or any related field.
  • Professional Certification in Accounting is a must i.e. ICAN.

Experience:

  • A minimum of 10 years’ experience in a Finance Unit of a viable Insurance Industry.
  • Experience as a Credit Controller, Hands on experience in regulatory activities including IFRS reporting.

Skills:

  • Excellent Communication skills (English): Spoken and written
  • Moderate Analytical Skills
  • Moderate IT skills
  • Basic Business Writing
  • Moderate Negotiation Skills
  • Basic Presentation skills



Job Description

  • The Finance Manager is responsible for the financial administration for the company and its subsidiaries in his/her region.
  • Solvency monitoring / Asset cover management.
  • Preparation of Valuation data and loan policy data.
  • Coordinating the debts and existing creditors of the company
  • Managing all money borrowed or owed to the business
  • Handle timely and effective collection of all bets and customers payment
  • Clients account reconciliation-investigation and answering of queries
  • Making recommendation on debt recovery to the management
  • Formulation and reviewing of company’s credit policy
  • Builds and maintains close links with all customers for smooth business operation
  • Preparation of relevant credit control reports to the regulatory authority .e.g. Naicom, NDIC etc.
  • The objective is to provide accurate financial information,
    mitigating financial and legal risks, to support the expansion of the
    business and to optimise processes and economic performance.
  • The Finance manager will carry out monthly reconciliation of Re –
    Insurance Treaty and Accounting, Reconciliation of production report and
    Claims reports.
  • Carry out accounts payable duties such as cash flow management and weekly report.
  • Review and reconciliation of all general ledger accounts on weekly and monthly basis.
  • Preparation of statutory audit schedule and monthly management account.
  • Execute budgetary control activities.
  • Investment portfolio, Statutory, ERM reporting and monitoring in line with NAICOM Filters


How to Apply

 
Click here to apply online


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