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This position is a highly specialized function that reports performance to the head office in Europe and to the Head of Financial Planning, Reporting and Analysis. You will also have the opportunity to develop and implement analytical/modelling tools.

Your job will be:

  • Financial reporting functions, financial analysis, and financial modeling
  • Provide analysis on revenue, daily cash flow reporting, operational costs and expenses, KPI reporting, collections reporting, and provide general journal entries
  • Monitor performance indicators, highlighting trends and analyze causes of unexpected variances and assist in the preparation of short-term and long-term business plan

We require:

We require:

  •  Must have more than 3-4 years of experience in preparing:
    • financial reports likely under IFRS standards
    • budgets
    • forecasts
    • long-term business plans
  •  Preferably with experience working in the financial services industry or any service industry
  •  Excellent Excel skills and very familiar with financial formulas
  •  Loves to distill substantial data sets with precision and swiftness
  • Finance or Accounting college graduates

What we can offer you?

  •  HMO with Dental Coverage
  • Fixed Dayshifts and Weekends Off
  •  Learning and development opportunities
  • Telecommunication Allowance
  • Paid Leaves upon Regularization

Salary Range depends on experience and skills



Employment Type



Finance, Accounting, Audit


College graduate