Invealth Partners Limited is an Investment and Management company with a focus on creating investment opportunities and strategic partnerships in the African continent. The company is poised to create efficiency and viability in the Infrastructure, healthcare, energy, retail and commodity sector while attracting investment and management of this portfolio to ensure sustainable growth and directly impact on service delivery across targeted ecosystems. Invealths strategy is one that takes advantage of the need for entry into the African opportunity marmet and developes strategies, models and vehicles that are familiar to investors especially financial management and value growth over an acceptable period. Our company and processes are designed to give investor confidence, and we have a due diligence process that ensures that we only partner in the value based solutions.
Invealth Partners serve to create a link between business opportunities and investors, either private or institutional, with a mid to long-term overview. Our business focus is guided by a strong Environment, Social and Government partnership justification. Africa is the next investment destination. Invealth provides the strategic partnership that provides holistic value.
We are recruiting to fill the position below:
Job Title: Financial Controller
Location: Port Harcourt, Rivers
Employment Type: Full Time
Job Profile
As the Financial Controller, you hold the top financial position in the organization. This position is responsible for tracking cash flow, financial planning, analyzing the company’s financial strengths and weaknesses and proposing strategic directions working with other members of the Executive Committee and Board Committees
The functions are as summarized below:
Provide financial direction, planning and accounting for the business, covering short term and long term financial goals of the organization
Oversee the commercial decision-making from margin analysis, pricing analysis etc.
Provide financial advisory to the management to guide formulation of the financial policy and business strategy; ensures that all financial policies, procedures, and systems are in place
Fundraise for the company, looking at the optimal best value proposition of debt and equity.
Ensures that optimal liquidity is available to deliver business plans by allocating resources, manage cash flow and advise on financial and business risks.
Use hedging to mitigate financial risks related to currency and interest rates on the company’s cash flows and borrowings
Advise management on the liquidity aspects of its short and long range planning
Maintain an efficient system of policies and procedures that impose an adequate level of control over treasury activities and provide support for regulatory reporting
Review and recommend changes to investment policies based on market conditions
Evaluate, develop and implement cash management system to optimize efficiencies
Manage relationship with financial service providers
Evaluate alternative long term borrowings strategies and make recommendations in accordance with the company’s capital structure guidelines
Monitors all financial activities for the Company for optimal running of the business
Develops plans, budgets, forecasts and financial results to guide management decisions by forecasting requirements, analyzing variances, and initiating corrective action with focus on return on investment
Responsible for accurate and timely financial reporting in line with statutory and regulatory financial reporting requirements.
Ensure adequate controls are installed and maintained to cover all financial transactions including safe guiding the company’s assets
Oversee the finance and accounting professionals who perform operational functions
Reporting to CEO and Board Committees.
Requirements
Minimum of First Degree in Accounting or related course