More than 100,000 people have found their dream job through Fuzu.

CLOSED FOR APPLICATIONS

The Finance Business Partner, Corporate And Treasury

Closing: Sep 2, 2022

This position has expired

Published: Aug 22, 2022 (2 months ago)

Job Requirements

Education:

Work experience:

Language skills:

Job Summary

Contract Type:

Sign up to view job details.

The Position:

Reporting to the Head of Business Performance, this role is responsible managing Corporate and Treasury analytics, providing strategic insights on business performance, supporting the implementation of strategic projects and initiatives, and coordination of the Corporate and Treasury annual budgeting and forecasting processes. The Finance Business Partner works alongside the Corporate and Treasury analysts to identify value creating initiatives and monitor their successful implementation.

Job Requirements:

For the above position, the successful applicant should have the following:

  • Bachelor’s Degree preferably in a Business field from an Institution recognized by Commission for University Education
  • Professional certification in any of the following: CPA, ACCA, CFA. MBA is an added advantage
  • Total minimum 8 years’ experience in a Finance Function out of which 6 years should be in Financial Analysis and 6 years in Business finance partnering
  • High commercial awareness with thorough understanding of corporate, and treasury products
  • Should have excellent high quality interpersonal, communication and negotiation skills with the ability to network and strong business relations
  • Should be innovative in identifying, developing, and harnessing new and existing opportunities to maximize business revenue
  • Excellent analytical skills and outstanding flair for numbers.


Responsibilities

The Position:

Reporting to the Head of Business Performance, this role is responsible managing Corporate and Treasury analytics, providing strategic insights on business performance, supporting the implementation of strategic projects and initiatives, and coordination of the Corporate and Treasury annual budgeting and forecasting processes. The Finance Business Partner works alongside the Corporate and Treasury analysts to identify value creating initiatives and monitor their successful implementation.

Job Requirements:

For the above position, the successful applicant should have the following:

  • Bachelor’s Degree preferably in a Business field from an Institution recognized by Commission for University Education
  • Professional certification in any of the following: CPA, ACCA, CFA. MBA is an added advantage
  • Total minimum 8 years’ experience in a Finance Function out of which 6 years should be in Financial Analysis and 6 years in Business finance partnering
  • High commercial awareness with thorough understanding of corporate, and treasury products
  • Should have excellent high quality interpersonal, communication and negotiation skills with the ability to network and strong business relations
  • Should be innovative in identifying, developing, and harnessing new and existing opportunities to maximize business revenue
  • Excellent analytical skills and outstanding flair for numbers.


Key Responsibilities:

  • Draw reliable and timely financial and non-financial data and information together from a range of sources and provide thorough analysis, insights, and options to enable the business to make sound decisions
  • Summarize actual performance vs. budget with variance analysis and reforecast of full year performance for the Corporate and Treasury team
  • Identify areas for performance improvement in the Corporate and Treasury business and challenge base assumptions
  • Oversee the business planning and budgeting cycle, including budget development as well as periodic reviews with business unit wide reforecasting.
  • Prepare budget Management Information and communicate to the Corporate and Treasury teams to assist in task prioritization
  • Define financial monitoring process for initiatives, sourcing reporting data and generating reporting to enable effective management control
  • Together with the business unit leaders, undertake thorough strategic and tactical commercial analysis of business opportunities and threats
  • Design and deliver ad hoc performance reporting and analytics for a range of business requirements focused on the key drivers of value in the business
  • Building a performance management culture through implementation of robust budgets, metrics, and corporate targets
  • Analysis of the bank’s assets and liabilities performance drawing insights and recommendations on balance sheet optimization


Applications submitted via Fuzu have 32% higher chance of getting shortlisted.

Don’t miss your chance to work at KCB Group. Enter your email to start your application now