Job Description:We are looking for a Finance Manager Officer to take charge of financial health and Legal compliance for our company by administering daily accounting operations. The incumbent will handle overall responsibility for all aspects of financial management and should be familiar with audits, invoicing and budget preparations. Our ideal candidate will partner with the CFO, and the Board members, to develop and strengthen strategies relating to finance across the organization. Job Duties and Responsibilities Conduct thorough research of historical financial data, analyze and report on current financial status.- Compare anticipated and actual results and identify areas of improvement. Develop financial models through bench-marking and process analysis Prepare Monthly and Quarterly financial reports in a timely, accurate, relevant and effective manner, aiding management team to make appropriate decisions. Forecast quarterly and annual management accounts and P& amp amp L/Balance sheet and analysis of variances for the Management.& amp nbsp Preparing cost projections and annual budgets based on previous records. Preparation of annual accounts to trial balance stage, and liaising with external auditor.& amp nbsp You will explore investment options and present risk and opportunities to set company-wide financial policies. Prepare and present the SWOT analysis to ease diversified decision-making. Liaising with Banks, Consultants Legal, CA, Statutory to adhere compliance.& amp nbsp Ensure our financial planning is healthy and profitable and aligns with business objectives. Streamline processes and procedures for improving operational efficiency of finance reporting and budgeting systems. Maintain confidentiality of financial information and investment decisions Being flexible, adaptable and available to take on other tasks or duties as requested by the Management.& amp nbsp Oversee General administration duties in accordance with latest policies:& amp nbsp Review accounting transactions for data accuracy. Overview of Accounts Payable & amp amp Accounts Receivable. Supervising cashflow and preparation of monthly cashflow projections. Companies Registration Office compliance. Tax Compliance. Processing monthly payroll. Maintaining Fixed Asset register. To forecast revenues and expenditures and advise us on future budgeting. Desired skills: A degree in Finance or Accounting or Economics 8+ years of relevant work experience. Knowledge of forecasting models and cost accounting processes Expertise in MS Excel (creating spreadsheets and using advanced formula Up-to-date with accounting laws and regulations Excellent Analytical, Statistical, Presentation skills and Problem-solving skills. Ability to present financial data using detailed reports and charts Understanding of Enterprise Resource Planning systems (ERP) Have excellent verbal and written communication skills.& amp nbsp Have high levels of professionalism, initiative, energy, creativity and flexibility.