Finance Manager at a Leading Real Estate Developing Company

Bradfield Consulting – Our client, a leading real estate developing company providing well-designed, comfortable, durable and affordable homes of good building standard to the Nigerian market, is looking to fill the senior managerial role below:

Job Title: Finance Manager
Location: Lagos

Requirements

  • A Master’s degree in a financial or accounting course.
  • A professional accountancy qualification (ACA, ACCA). Additional qualifications/experience in Islamic Banking & Finance.
  • Minimum 10 years cognate working experience. Experience in the Real
  • Estate Business or Investment/Treasury management in the Financial Services sector would be an added advantage
  • The candidate should have 10-15yrs of experience in banking, treasury and accounting.


Objectives

  • The Finance Manager will be responsible for Project Financing, Financial Controls and Treasury Management support for the company.
  • The candidate will handle fund raising and external facing issues for the company.
  • The successful candidate will be responsible providing oversight supervision of the senior accountant and his team.

The Successful Candidate will Have the following Main Job Objectives

  • Guide the company in selecting the right mix for investment portfolios relative to the available project financing options for its various projects.
  • Manage all financing arrangements with investors, banks and other financial Institutions.
  • Periodic assessment of the economic performance of the company in relation to competition the industry.
  • Analyse the company’s financial statement in terms of sales, costs, expenses and tax rates to determine company’s value and to project its future earnings.
  • Be up to date about new regulations or policies that may affect the company’s investment; whilst monitoring the economy and the real estate sector to determine its effect on earnings
  • Preparation of financial and management reporting as required by the business and deliver timely financial information to stakeholders.
  • Treasury/Cash flow management and Bank reconciliations.
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls and audit.
  • Preparation of annual budget, reforecasts and business plan
  • Ensure integrity of balance sheets and accuracy of income statements and associated systems.
  • Liaise with project managers as necessary in monitoring factors that impact business performance including cost and income drivers.
  • Monitor and report on performance of the business against budget/plan (MPR).


How to Apply

Click here to apply online


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