Offre fiable

Head of Finance

IDYHA Capital

Lagos, Nigeria CDI

Publiée il y a 1 mois · Expire dans 3 semaines

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Description du poste

An exciting opportunity has arisen for a motivated professional. Position Overview:
  • The Head of Finance role is critical to stabilising cash flow, improving capital efficiency, strengthening reporting and accountability, and supporting sustainable, profitable growth.
Role Purpose
  • The Head of Finance will be the senior Manager responsible for financial stewardship, performance management, and capital discipline across the business units. The role combines hands-on financial control with strategic leadership, ensuring that Bature Brewery operates within clear financial parameters while building the systems, reporting, and governance required for scale.
The HOF will play a central role in:
  • Embedding KPI-led management and scorecard discipline
  • Supporting a structured monthly performance and board reporting cycle
  • Managing liquidity, working capital, and creditor exposure
  • Supporting equity and debt investment processes
  • Leading the receivable management process
  • Enabling informed, data-driven decision-making across the executive team
Key Responsibilities Financial Strategy & Executive Partnership:
  • Act as a core strategic partner to the CEO, contributing to business strategy, capital planning, and long-term sustainability.
  • Translate strategic objectives into clear financial plans, constraints, and performance targets.
  • Provide independent financial judgement and challenge to executive and operational decisions.
  • Support scenario planning and stress-testing to guide decisions under different growth and liquidity conditions.
Governance, Reporting & Performance Management:
  • Own the financial component of the company’s governance framework, ensuring clarity, discipline, and transparency.
Lead the development and maintenance of:
  • Executive scorecards
  • Departmental KPIs
  • Monthly performance dashboards covering financial and operational metrics
Drive a robust monthly performance meeting cadence, ensuring:
  • Accurate, timely reporting
  • Clear variance analysis versus budget, prior periods, and targets
  • Action-oriented insights rather than backward-looking reporting
  • Prepare board-level and shareholder-level financial reporting aligned to agreed governance standards.
Budgeting, Forecasting & Cash Management:
  • Lead annual budgeting and rolling forecasting processes, aligned to agreed strategic priorities and capacity constraints.
Maintain tight control over:
  • Cash flow and liquidity
  • Working capital (receivables, payables, inventory)
  • Short-term and medium-term cash runway

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