Job Expired

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Chief Finance Officer (CFO)

International Clinical Laboratories

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Finance

Accounting

Addis Ababa

15 years

1 Position

2023-07-05

to

2023-07-15

Required Skills
Required skills have not yet been specified for this position this job
Fields of study

Accounting

Finance

Full Time

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Job Description

This role is responsible for Ethiopia and Mauritius Island

The incumbent is responsible for:

  • The long-term financial health and growth of the company 

  • Ensuring regulatory compliance all financial aspects of the business

  • Collating, implementing, and managing strategies in line with the company’s vision with the aim of increasing revenue, achieving maximisation of profits and return on investment across the region through prudent fiscal management and efficient use of resources.

  • Contributing as a member of the senior management team with regards to planning processes for budgets, staffing and operational matters in support of the achievement of organisational strategy and objectives.

  • Overseeing the day-to-day management of finance and accounts department, and supports administrative functions to fulfil organisational objectives, achieving specific goals, and maximising profit and efficiency.

KEY RESPONSIBILITIES

  • Working alongside a business’ MD /CEO, the FM will be required to be exceptional accountant and hands-on with company finances as well as be commercially aware, advising on the best path of growth for the business.

  • The incumbent will be required to perform the below duties:

Forecasting & Budgeting 

  • Prepare Group financial and operational forecasts on regular basis and report on actual performance versus forecasts

  • Undertake interpretation and presentation of financial reports in order to monitor work and performance status as well as determine expenditure trends of the organization and provide inputs into strategic planning of the organisation.

  • Lead in the preparation of annual budget in line with the expectations and strategies of the Group

  • Provide input to the development of Group’s budgeting guidelines, policies and procedures ensuring inculcation of best practices and alignment with local operating regulations and requirements.

Planning and Strategy

  • Drive the implementation of the department’s operational strategy, work plans, programs, systems, controls, policies and procedures to ensure a rigorous financial framework in alignment with Group overall objectives.

  • Communicate and ensure implementation of working instructions, standard operating procedures and operational standards (including LEAN principles) with regard to all finance and accounting processes and practices in support of the achievement of organisational strategy and objectives.

Analysis and Reporting 

  • Ensure monthly management reports are produced with acceptable accuracy as per tight reporting deadlines

  • Use data analysis to strategically forecast financial trends

  • Ensure collaboration/interface with other departments on financial assessment of projects, business models and business plans.

  • Provide broad guidelines for the management of Group fixed assets from an accounting perspective, ensuring that organisational policies with respect to accounting for fixed assets are adhered to at all times

  • Undertake interpretation and presentation of financial reports in order to monitor work and performance status as well as determine expenditure trends of the organization and provide inputs into strategic planning of the organisation.

Working Capital Management

  • Manage the  cash-flow by ensuring strict adherence of credit terms to customers to enhance collection of debts and settle all liabilities on time

  • Managing transactional team and overseeing/reviewing sales ledger, purchase ledger, payroll, cash posting and all general ledger entries.

  • Define and document Group’s credit guidelines, policies and procedures ensuring inculcation of best practices and ensure adequate monitoring and management of credit exposure.

Tax & Audit 

  • Oversee and drive preparation processes for annual audits pertaining to financial processes once the financial year is over, in accordance with agreed plans and timeframes.

  • Handling VAT, PAYE and Tax duties, including corporation tax.

  • Identify and mitigate tax risks

  • Manage and coordinate tax audits

  • Facilitate and manage the preparation and review company federal tax returns and the accurate, timely filing of all tax forms.

Treasury

  • Permanently looking for solutions and alternatives solution to payback the investment to the shareholder by transferring Hard currencies abroad.

  • Report weekly all cash position of all Bank account to Headquarter

  • Responsible to maintain the Bank reconciliation UpToDate on monthly basis of all Banks accounts

  • Manages the internet online banking access of all the companies.

  • Analysing and performing appropriate hedging and funding activities (Forex, loans, deposits, etc.)

  • Manages the bank mandates of all the companies of the Africa group

  • Liaise with Consolidation the Inter Company reconciliation

Internal Control

  • Develop, implement and continuously review internal controls, policies and procedures in the management and operations of the company in relation to the finance and accounting functions

  • Manage the annual audit of the Group to ensure statutory deadlines are met with ease 

  • Oversee and drive preparation processes for annual audits pertaining to financial processes once the financial year is over, in accordance with agreed plans and timeframes.

  • Manage the annual audit of the Group to ensure statutory deadlines are met with ease

  • Ensure compliance to all company policies and statutory matters

  • Proactively identify risks, and define and implement strategies to prevent revenue leakage.

General 

  • Direct & monitor all financial activity of the organisation 

  • Have a clear understanding of and adhere to current laws and regulations

  • Provide quality leadership to the accounting staff in the region to ensure their development and progression

  • Recruit and plan activities and manages performance of own staff to ensure that service standards are met in pursuance of team objectives.

  • Participates in the execution of changes to procedures, policies, and systems to facilitate expansion, compliance, and scaling of the business

  • Adheres to professional conduct requirements in line with organizational policy and relevant professional body ethical standards and monitors compliance of own employees in this regard

  • Ensures proper record keeping for company’s financial documents

  • Participates in meetings with the regional Board of Directors to report on financial matters when called upon.

  • Ensure compliance to all company policies and statutory matters

  • Communicate and ensure implementation of working instructions, standard operating procedures and operational standards (including LEAN principles) with regard to all finance and accounting processes and practices in support of the achievement of organisational strategy and objectives.

  • Participates in monthly meetings with pathologists and managers to report on financial matters, discuss progress on agreed plans.

  • Liaise with external customers such as banks and insurances in order to resolve issues, address non- conformances, maintain a positive image of the organisation and promote the services of the Company

  • Adheres to professional conduct requirements in line with organisational policy and relevant professional body ethical standards and  monitors compliance of own employees in this regard.

DECISIONS AND JUDGMENTS

  • The post holder has full authority and discretion with regard to taking decisions that relate to the key performance areas and delegated responsibilities of this position. Decisions with financial implications that fall outside an approved range must be consulted with the pathologist.

  • The post holder is expected to give instructions pertaining to corrective actions within the range of the key performance areas of the role.

Required Number One (1)

Geographic area Ethiopia / Mauritius Island  Jurisdiction / Perimeter Medpharm / International Clinical Laboratory

Reporting to: Chief Executive Officer

  • Dotted line Cerba Lancet Africa, Chief Financial Officer

Dimensions: This position supervises any functions/ roles in relation to finance and administration across both countries

Job Requirements

EDUCATION & QUALIFICATIONS 

  • Having his or her first degree in financial accounting, At least masters in financial stream or related field from a recognized University 

  • (MBA will be an added advantage)

  • Must possess CPA (K) or ACCA qualification

REQUIRED EXPERIENCE

  • At least 15 years’ experience in the finance and accounting field, of which 10 years must be in senior management position (audit experience will be an advantage)

  • Experience in managing a diverse workforce

  • Experience in the regional market and working in a multinational organization is an added advantage

RELEVANT JOB KNOWLEDGE

  • Analytical skills to think things through to obtain correct outcome

  • Time management skills to deliver various reports on the same day

  • Communication and cultural sensitivity skills (verbal, written, influencing, conflict management, presentation)

  • Good understanding of trends, challenges, opportunities, regulations and legislations relating to the industry.

  • strategic financial planning and analysis. 

  • Advanced financial and accounting knowledge, including understanding of finance best practices and IFRS/ international accounting and financial reporting standards 

  • Strong negotiation skills and influencing skills.

Key Performance Indicators

  • Timely & accurate reporting 

  • Monitoring compliance of budget 

  • Working capital management

  • Change Management 

How to Apply

Submit your application via email: internationalclinical@ethiojobs.net

Fields Of Study

Accounting

Finance

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