Finance Manager at Superflux International Limited


Superflux International Limited - The high incidence of fake, forged and parallel cheques in the banking sector was the initial catalyst for the business philosophy of Superflux International Limited. Today, Superflux is the preferred supplier of cheques to major banks in Nigeria. We also provide secure and communication print solutions to a wide range of clients spanning the manufacturing, entertainment, education sectors as well as Government agencies in Nigeria and across several African countries

We are recruiting to fill the position below:

 

Job Title: Finance Manager

Location: Lagos
Employment Type: Full time

Responsibilities

  • Ensure that Finance/Accounts and treasury functions are consistent with Internationally Accepted Accounting Practices and with the Group Accounting Policy
  • Provide everyday cash position, estimate and analysis.
  • Elicit and analyze proposals for banking and financing services
  • Provide everyday cash position, estimate and analysis.
  • Ensure timely completion and submission of periodic and annual financials
  • Ensure that the unit’s Treasury functions are carried out in line with the company’s Policy - proper investment of surplus funds
  • Manage an appropriate finance control framework and ensure consistent application across the organization
  • Manage collection, handling & payout of cash.
  • Monitor bank transactions & bank relationship management.
  • Develop strategies to optimize the company’s cash position
  • Provide financial advice on the company’s short, medium and long term cash/ funding/ risk situation to the Chief Operating Officer and Management
  • Implement Management financial policies in line with approved financial procedures and generally accepted Financial/Accounting practices and statutory requirements
  • Facilitate annual budgeting and forecasting for the company
  • Review all cash flow statement to ensure accuracy and consistency
  • Support in the preparation of balance sheet reconciliation and provide monthly reconciliation on selected accounts.
  • Manage all company loans and borrowings.
  • Develop, monitor and upgrade Treasury department budget.
  • Liaise with financial planning & reporting manager
  • Supervise record keeping, daily reconciliation & booking all cash and bank transactions into accounting software.
  • Manage bank and creditor relationship
  • Manage fund raising, liquidity assurance, investments appraisal and capital allocation
  • Assist in the preparation of monthly management accounts
  • Prepares the monthly, quarterly and yearly financial reports and ensure the accuracy and efficiency of IFRS reporting

Qualifications

  • Must possess at least a Bachelor's Degree in Accounting, Finance, Economics or any related discipline.
  • Professional Certification (ICAN or ACCA).

Experience:

  • Must have a minimum of 5 years post-graduation experience with at least 3 years as a qualified accountant.

 

How to Apply
Interested and qualified candidates should send their CV to: [email protected] using the Job Title as the subject of the email.

 

Application Deadline 10th December, 2023.