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  • Posted: Aug 4, 2023
    Deadline: Not specified
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    Centum is East Africa's leading investment company listed on the Nairobi Securities Exchange and Uganda Securities Exchange. We are an investment channel providing investors with access to a portfolio of inaccessible, quality, diversified investments. Our Key objective is to consistently generate market beating returns by building extraordinary enterpr...
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    Finance Manager

    Job Summary

    • The role holder will be responsible for management of financial reporting, financial operations, and compliance for Jafari Credit Limited.

    Principle Accountabilities:

    Management of the loan book

    •  Oversee posting of loan transactions in the accounting software.
    •  Ensure the processing of loan disbursement requests for new loans;
    •  Manage the loan receivables process by ensuring adherence to the company’s credit policy-daily/weekly tracking and reporting of receivables and computation of IFRS 9 provisions; and
    •  Aid in the development of debt collection policies, manage debt collectors and other stakeholders in line with debt collection practices.

    Budgeting and Forecasting

    •  Prepare annual budgets for Jafari Credit Limited; and
    •  Prepare forecasts for the company with accompanying analysis and commentary of the forecasts against budgets, strategy, and prior year.

    Management accounting and reporting

    •  Completion of monthly finance close procedures and reporting of financial results;
    •  Preparation of monthly performance reports for the Company with accompanying analysis and commentary of the performance against budgets, strategy, and prior year;
    •  Preparation of monthly balance sheet reconciliations and the necessary journal entry adjustments;
    •  Analyzing complex financial data and actively recommending corrective actions as necessary; and
    •  Assist in the ad-hoc financial analysis and preparation of technical papers as and when requested.

    Statutory reporting

    •  Preparation of statutory financial statements in accordance with IFRS and applicable local regulations;
    •  Preparation of company financial analysis and commentary for the Board; and
    •  Support the external auditors during the statutory audit and ensure timely completion of the statutory audit process.

    Treasury Management

    •  Regular assessment of the company’s liquidity needs and ensure accounts are funded to meet obligations;
    •  Accurate and timely preparation of short- and medium-term cash flow forecasts including analysis of bank balances and preparation of the weekly and ad hoc cash position reports; and
    •  Liaising with bankers on the operation of the Company’s bank accounts.

    Finance Operations

    •  Developing and implementing sound accounting policies & processes;
    •  Ensure procurement is done per the procurement policy;
    •  Regular review and validation of the General Ledger, oversee receivables processing, payables processing, payroll processing, bank reconciliations and other finance operational procedures.
    •  Lead customization and integration efforts to make accounting and supporting systems fit for purpose in relation to the business needs.
    •  Monthly tax filing, including preparation of tax schedules for filing of taxes, ensuring timely tax payments and proper tax accounting.

    Risk Management & Internal Audit

    •  Work closely with the Risk department and Business unit leaders in identifying key risks facing the business and update the risk register on an ongoing basis; and
    •  Internal Audit support including provision of information during audits and implementation of recommendations therefrom.

    Minimum Requirements

    •  Bachelor’s degree in Business Administration, Commerce, Accounting, or a business-related field.
    •  CPA(K) or equivalent qualification is mandatory.
    •  A member of ICPAK, ACCA or similar association.
    •  Minimum of 5 years’ managerial experience in financial services.
    •  In-depth understanding of International Financial Reporting Standards (IFRS) and tax regulations.
    •  Aptitude for numbers and quantitative skills.
    •  Advanced MS Excel skills with superior analytical skills.
    •  Hands-on experience with accounting software like SAP will be an added advantage.

    Method of Application

    Interested and qualified? Go to Centum on lde.tbe.taleo.net to apply

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