Positions (1)
Deadline 2020-03-15
Key Objectives
- Provide full financial visibility of the
business by preparing accurate weekly, monthly or periodic dashboards and
financial analysis.
- Maintain a comprehensive budget control by
implementing a monthly checking process.
- Ensure stable and standard prices are
marinating across the business by carrying out daily and weekly reviews.
Responsibilities
- Preparation and reporting on weekly, monthly
and yearly financial performance/ financial position and cash flow of the
business.
- Preparation of all/any ad hock/ periodical
operation analysis within the business.
- Coordinate and facilitate with Budgeting,
Planning & forecasting processes for the organization
- Participate in monitor and maintain a full
budgetary control process within the organization
- Coordinate the process and report on retail
price changes and control.
- Establish operational trends including demand
behaviors and advise the respective units accordingly
- Establish cash outflow requirements and
preparing the cash-flow projections.
- Preparation and sharing of any data
/schedules/ analysis with company’s business partners
- Custodian of all company data, analysis
and dash boards
- Perform all other duties that may be assigned
by Management
Qualifications
- Degree in Accounts, Economics and Finance
- CPA (K), ACCA or related qualifications.
Experience
- 3 years’
experience two should be in the same capacity.
- Proficiency
in Ms Navision ERP
Skills
- Strong
Analytical skills
-
Communication skills
- Keen on
analytical Details
- Report
writing, presentation Skills
How to Apply