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Senior Finance Accounting Manager

6-8 Years
  • Posted 8 hours ago
  • Be among the first 10 applicants

Job Description

  • Financial Planning & Cash Flow Management
  • Develop and manage the company's cash flow forecasts, ensuring accurate projections of cash inflows and outflows.
  • Monitor short-term and medium-term liquidity to ensure the company maintains sufficient cash availability.
  • Ensure adequate fund availability to meet operational and financial obligations in a timely manner.
  • Identify potential cash flow gaps and liquidity risks, and proactively recommend appropriate mitigation measures.
  • Develop funding and payment prioritization recommendations based on cash flow requirements, business priorities, and financial obligations.
  • Analyze cash flow trends and variances to support financial planning and management decision-making.
  • Treasury & Banking Management
  • Oversee the management and administration of all company bank accounts, ensuring proper control and utilization.
  • Oversee and ensure the timely and accurate completion of bank reconciliations.
  • Provide recommendations for the placement of idle funds in accordance with the company's policies, guidelines, and delegated authority.
  • Account Receivable & Collection Management
  • Manage the company's Accounts Receivable (AR) operations to ensure effective receivables management.
  • Ensure timely and accurate billing in accordance with agreed terms and contractual requirements.
  • Conduct regular reviews of Accounts Receivable aging reports and monitor outstanding balances to support timely collection.
  • Account Payable & Payment Governance
  • Oversee Accounts Payable (AP) activities and payment schedules to ensure timely and accurate payments.
  • Ensure vendors are paid in accordance with contractual obligations and the company's cash flow priorities.
  • Review and approve material or unusual payments, ensuring appropriate justification and authorization.
  • Monitor and ensure compliance with established payment controls and procedures.
  • Budgeting & Financial Control
  • Support the preparation of the company's annual budget.
  • Monitor actual versus budgeted figures.
  • Preparing Financial Reports for management.
  • Implementing Internal Controls & Fraud Prevention
  • Making Finance Policy & Procedure
  • Conducting Audit, Compliance & Tax
  • Identifying potential Financial Risk Management issues.
  • Team Management

Minimum Qualifications

  • Min. Bachelor's Degree of Finance, Accounting, Management, Economics,
  • Approximately 6–8 years of professional experience in Finance, Treasury, Accounts Receivable/Accounts Payable (AR/AP), Financial Planning, or a related field.
  • Proven experience in a supervisory or managerial role.
  • Strong experience in cash flow and liquidity management.
  • Proven experience in Accounts Receivable (AR) and collection management.
  • Hands-on experience in managing banking transactions and payment controls.
  • Experience in supporting internal and external audit processes.
  • Experience working in an IT, software, or technology services company would be an advantage.

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About Company

Job ID: 153925501

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