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Hybrid Financial Reporting Manager bei Dangote Takoradi Cement Production Limited

Dangote Takoradi Cement Production Limited · Tema, Ghana · Hybrid

Jetzt bewerben

Dangote Takoradi Cement Production Limited invites applications for the position of Financial Reporting Manager to join our accomplished finance team. This critical role entails managing all aspects of financial reporting, ensuring strict adherence to applicable regulations, and delivering strategic analysis to support and enhance overall business performance.

Your expertise will guide our month end financial processes and enhance our reporting capabilities, making you an essential contributor to our financial health and strategic objectives.

Responsibilities

·         Responsible for the preparation, review, and analysis of monthly, quarterly, and annual financial statements in compliance with GAAP and IFRS standards.

·         Provide financial data reports to internal stakeholders and external parties, such as regulatory bodies and auditors, in an accurate and timely manner.

·         Establish strong financial reporting processes to improve reporting accuracy and efficiency.

·         Work collaboratively with cross-functional teams to ensure consistent alignment regarding financial data and reporting standards, fostering an environment of transparency and accountability.

·         Perform variance analysis and deliver comprehensive commentary on financial performance, highlighting key trends and identifying opportunities for improvement.

  • Manage the annual audit process, liaising with external auditors and ensuring adherence to compliance requirements.
  • Mentor and develop junior finance staff, fostering a collaborative and high-performing team culture

·         Coordinate cross-team efforts and conduct complex financial analyses to produce summary reports.

·         Conduct studies to analyse financial activities, adjust accounting processes as needed, offer technical guidance, and suggest potential improvements.

·         Develop financial models, create forecasts, and design reporting tools to identify business opportunities, assess risks, and ensure enhanced organizational performance.

·         Collaborate with senior management to develop forecasts and budgets that align with business objectives, utilizing the expertise of accounting staff and thoroughly documenting all relevant research on accounting matters.

·         Develops and maintains financial forecast models for the company's income statement, balance sheet, and cash flow statement.

·         Conduct comprehensive analyses of financial reports and provide support in both the enhancement and implementation of related processes. Review all earnings releases and oversee the preparation of investor presentations and conference call scripts to ensure their accuracy.

·         Compliance with reporting requirements, filing quarterly forms as stipulated, and documenting new rules are necessary steps according to current regulations.

·         Prepare and maintain supporting documentation for all financial reports and review it for use by various departments and committees.

·         Collaborate with multiple departments to compile and deliver recurring financial reporting packages.

·         Review competitor filings to identify best practices and ensure our company adheres to stringent standards for periodic reporting.

·         Oversee revenue recognition processes, apply updated methodologies, and review contracts to identify and document financial matters.

·         Establish and execute internal financial controls to streamline and integrate the company's closing process and financial activities.

·         Handle all communication with associates regarding goals, feedback, performance planning, and appraisals.

Requirements

  • Bachelor’s degree in finance, Accounting, or a related field; CA or equivalent certification is required.
  • MBA in Finance /Accounting
  • 8+ years of experience in financial reporting or accounting roles, with 5 years post qualification experience of senior financial and operational management role
  • Demonstrated experience with financial statement preparation and analysis, as well as financial modeling.
  • Proficient in financial reporting software and ERP systems; advanced Excel skills are essential.

Preferred:

Benefits

  • Private Health Insurance
  • Opportunities for Professional Growth and Career Advancement
  • Paid Time Off
  • Training & Development
  • Competitive salary
  • Collaborative and supportive work environment
Jetzt bewerben

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