The individual will be responsible for a portfolio of project companies and the supervision of an accounts assistant assigned to each project.
You Will Be:
ACA/ACCA/CIMA qualified
Excellent communicator with strong interpersonal skills to facilitate effective working relationships within the finance team and with the various external stakeholders including lenders, shareholders, suppliers, operations and local authorities
Strong analytical skills and attention to detail with intellect to both develop and challenge explanations and arguments
Proactive in identifying and implementing process improvements
Responsibilities:
Management accounting
Incorporation of purchase ledgers, sales ledgers, cash books and loan schedules into ETBs and reconciliation of ETBs to SUN Systems accounting package
Maintenance of accruals & prepayments and amortisation workings as required
Review of fixed asset portfolios
Preparation of management account reports including analysis of actual versus budget
Supervising the preparation and submission of VAT and CIS returns
Supervising the preparation of purchase invoice and other non-supplier payments and issuing of invoices to customers
Supervising the maintenance of cash books and loan schedules
Financial accounting
Preparation of the statutory accounts for the year end audit
Preparation of supporting documentation and working papers for the year end audit
Liaising with the audit team during their fieldwork and thereafter with the audit manager
Liaising with tax advisors in the preparation of corporation tax computations
Liaising with the shareholders in their periodic analysis of investment return
Reporting
Presentation of finance reports to shareholders at quarterly project board meetings
Tracking and complying with project deliverables as dictated by loan facility agreements
Maintenance of financial and operating models and preparation of budgets and cash flow forecasts
Cash and working capital management
Monitoring cash and working capital to determine debt requirements for funding projects both for the short term and longer term
Preparing loan utilisation requests and ensuring repayments of interest and principal are made as dictated by loan facility agreements
Calculating semi-annual distributions to shareholders
Other
Monitoring of derivative valuations and balance sheet position
Dealing with ad-hoc queries from various stakeholders
Monitoring controls and assessing financial risks
In our company values we aim for equity at all stages of the recruitment process, please let us know if we can do anything to make the process more accessible to you.