Saturday, 11 November 2017

Dorbe Leit Job Vacancy : Finance

  • Review driving improvements to processes including systems enhancement to maximize the return on systems investments and evolving team roles to facilitate the same.
  • Develop the management and external reporting for the group both in terms of content and in the degree of automation and efficiency in report production.
  • Oversee the production of monthly control reports i.e. project reports, property P&Ls and cost center reports
  • Manage the production of monthly consolidated management accounts including key performance indicators and other management information
  • Contribute to the development of management reporting in this high growth, evolving environment
  • Manage the production of annual statutory accounts including individual SPVs and Group consolidated accounts.
  • Ensure proper preparation for audit visits, all information requested is provided and all issues raised are dealt with.

Transaction Processing

  • Oversee the transaction processing teams in accounts payable, accounts receivable, cash management & expenses processing.
  • Ensure transaction processing teams prepare monthly control account reconciliations and review
  • Ensure balance sheet account reconciliations are prepared on agreed timelines and reviewed
  • Maintain the consolidated chart of accounts
  • Maintain a system of controls over accounting transactions
  • Maintain an orderly accounting filing system
  • Manage the production of financial reports for lenders including covenants.

Treasury & Controls

  • Monitor the group’s daily cash position across its various entities ensuring cash is held in appropriate accounts
  • Ensure payments are made on a timely basis in accordance with agreed policies and procedures
  • Prepare short term cash flow forecasts as required
  • Co-ordinate debt drawdown activities to ensure timely payments
  • Ensure debt service is paid when due
  • Design and implement improvements in Treasury management processes

Tax & Statutory

  • Oversee the processes of filing tax and statutory returns including audited accounts in a prompt and timely manner
  • Ensure all VAT filings and payments/receipts are in accordance with deadlines
  • Ensure all other tax returns are filed and tax payments made in a timely manner
  • Ensure all statutory obligations are dealt with promptly
  • Support senior finance management team in treasury & controls, financial risk management & in managing the tax & statutory compliance.

Requirements for the Financial Controller Job

  • A Bachelor’s degree in Finance or Accounting.
  • An MBA will be an added advantage.
  • Professional qualifications in CPA (K), CFA or ACCA.
  • At least 7 years’ proven work experience in working with volume transaction & reporting in a group level.
  • Experience in the real estate industry with business knowledge on mortgages, property valuation, investment appraisal will be an added advantage.
  • Knowledge of IFRS & accounting systems

Required skills and key competencies

  • Excellent command and articulation of the English language.
  • Ability to management progression.
  • High interpersonal skills and ability to interact with people from all walks of life.
  • Attention to detail.
  • Numerical acumen and analytical.
  • Holding people accountable
  • Good planning and organization skills.
  • Team player with proven leadership skills.
  • Good decision maker.
  • Delegation and management skills.
  • Outstanding attention to detail and observation ability.
  • Exceptional communication and interpersonal abilities

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