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Head Of Finance And Administration

Closing: May 18, 2024

This position has expired

Published: May 8, 2024 (19 days ago)

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Job Summary

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Requirements and Skills

  • BSc / Master’s Degree in Finance, Accounting, or Economics with a minimum of a second-class upper-division
  • 5 years of Proven experience as a Cost Management Accountant in a real estate development company or similar organization
  • Being a member of CIMA or any recognized professional qualifications is an added advantage
  • Extensive understanding of financial trends both within the company and general market patterns
  • Proficient user of finance software and MS Excel
  • Strong interpersonal, communication and presentation skills
  • Attention to detail and accuracy
  • Able to manage, guide and lead employees to ensure appropriate financial processes are being used
  • A solid understanding of financial statistics and accounting principles
  • Working knowledge of all statutory legislation and regulations
  • Budgeting and risk management experience
  • Leadership and management experience
  • Self-assured in presenting results to a group
  • Skills in strategic thinking, planning, and excellent analytical and problem-solving creativity
  • Ability to work with higher management to organize, plan, and achieve financial goals for the organization.
Responsibilities

Requirements and Skills

  • BSc / Master’s Degree in Finance, Accounting, or Economics with a minimum of a second-class upper-division
  • 5 years of Proven experience as a Cost Management Accountant in a real estate development company or similar organization
  • Being a member of CIMA or any recognized professional qualifications is an added advantage
  • Extensive understanding of financial trends both within the company and general market patterns
  • Proficient user of finance software and MS Excel
  • Strong interpersonal, communication and presentation skills
  • Attention to detail and accuracy
  • Able to manage, guide and lead employees to ensure appropriate financial processes are being used
  • A solid understanding of financial statistics and accounting principles
  • Working knowledge of all statutory legislation and regulations
  • Budgeting and risk management experience
  • Leadership and management experience
  • Self-assured in presenting results to a group
  • Skills in strategic thinking, planning, and excellent analytical and problem-solving creativity
  • Ability to work with higher management to organize, plan, and achieve financial goals for the organization.


  • Perform financial management duties including generating financial data, compiling and submitting reports, analyzing industry trends, and assessing the company's financial health.
  • Analyze costs and cost drivers to identify opportunities for cost reductions.
  • Oversee the operations and development of the company’s finance departments including creating and reviewing policies, budgeting and conducting regular assessments of financial procedures.
  • Supervise the preparation of monthly, quarterly and annual account reconciliations, monitor and enforce compliance with tax and financial reporting standards, and assist with cash flow forecasting.
  • Advise colleagues and executive management on decisions related to the company’s finances.
  • Supervise the documentation of the company’s financial status and forecasts.
  • Mediate between the organization, employees, stakeholders, shareholders and investors on financial issues for amicable resolution of differences.
  • Create strategic business plans based on the analysis of the company’s status and financial forecasts.
  • Drive the continuous improvement of end-to-end finance and accounting practices.
  • Leading the analysis of monthly and quarterly numbers and presenting findings to the board.
  • Managing an end-to-end audit process of current systems – while acting as the first point of contact for external auditors.
  • Continually identify risks to delivery, propose solutions where necessary and effectively manage stakeholder expectations throughout.
  • Dealing with working capital management and production of cash flow forecasts.
  • Leading the team responsible for finance and accounting processes.

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