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Financial Controller

Closing: Mar 30, 2024

This position has expired

Published: Mar 18, 2024 (2 months ago)

Job Requirements

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Job Summary

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REQUIREMENTS

Hard skills and experience:

  • Minimum of three years experience in a Financial Controller or similar senior position.
  • CPA ACCA or CFA certification required.


Responsibilities

REQUIREMENTS

Hard skills and experience:

  • Minimum of three years experience in a Financial Controller or similar senior position.
  • CPA ACCA or CFA certification required.


  • Manage the processes for financial forecasting and budgets and oversee the preparation of all financial reporting for Kenya;
  • Develop and control Kenya’s annual budget to ensure all financial targets are met and financial and statutory regulations are complied with;
  • Kenya management reporting, including quarterly IFRS balance sheets and P&Ls (if required).
  • Coordinate and supervise annual third-party valuation of Rendeavour assets in Kenya;
  • Supervising project accounting and reporting.
  • Manage forecasting and budgeting processes.
  • Monitor and control budgets versus actual spending/income every month.
  • Closely monitor and control all spending throughout Kenyan Entities, stay within budgets, and identify and achieve savings.
  • Managing liquidity of Kenyan group of entities.
  • Maintain and update an accurate cash flow forecast for Kenyan entities every month.
  • Monitor and manage intercompany and third-party loans.
  • Manage all treasury functions throughout the Kenyan entities.
  • Work on attracting new investors in development projects.
  • Manage financial models for Kenya projects.
  • Safeguard shareholder assets through appropriate internal controls and manage any financial risks;
  • Maintain and develop all necessary policies and procedures to ensure sound financial management and control of the business;
  • Creating and maintaining business plans and financial models for real estate developments.
  • Contributing to strategy development and implementation of existing and new businesses.
  • Assisting with the preparation and coordination of annual business plans.
  • Assisting with the preparation and coordination of monthly management reporting.
  • Cash flow forecast and analysis, budgeting
  • KPI analysis and commentary of performance against budget for quarterly board packs
  • Financial modelling, scenario analysis and due diligence.


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