About Company:
DP World - We exist to make the world’s trade flow better, changing what’s possible for the customers and communities we serve globally. With a dedicated, diverse and professional team of more than 108,100 employees spanning 74 countries on six continents. We are pushing trade further and faster towards a seamless supply chain that’s fit for the future. We’re rapidly transforming and integrating our businesses - Ports and Terminals, Marine Services, Logistics and Technology – and uniting our global infrastructure with local expertise to create stronger, more efficient end-to-end supply chain solutions that can change the way the world trades.
Job Description:
- Financial Reporting: Oversee preparation, reviews, and analysis of financial statements, including balance sheets, income statements, and cash flow statements. Ensure timely and accurate financial reporting in line with accounting principles.
- Compliance: Ensure compliance with accounting standards, tax regulations, and other financial regulations.
- Financial Analysis: Conduct in-depth financial analysis to identify trends, opportunities, potential risks and make recommendations that will drive financial strategies and decision-making within the organization.
- Team Leadership: Lead a team of accounting professionals by providing guidance, training, and perform
- ance feedback to ensure the highest standards of reporting quality is maintained.
- Audit and Compliance: Responsible for coordinating and managing external audits and regulatory compliance including the organization's adherence to all relevant laws and regulations, and the accurate and timely submission of financial reports.
- Financial Systems: Evaluate, implement, and optimize financial reporting systems and processes in order to enhance efficiency, streamline reporting, and ensure the accuracy of financial data.
- Financial Strategy Support: Collaborate with senior management by providing valuable insights and recommendations for financial strategies. This includes identifying cost reduction opportunities and avenues for revenue enhancement, all based on the data and information derived from the financial reports.
- Budgeting & forecasting: Collaborate with departments to develop and manage budgets and provide financial forecasts and analysis to support strategic decision-making.
- Cash Management: Manager cash flow with the aim to ensure the organisational stability, optimise working capital and work with other departments/stakeholders to achieve cash management objectives.
Requirements:
- 5 - 8 years of experience in finance or accounting, preferably in the logistics industry.
- Familiarity with treasury management systems and financial technologies.
- Understanding of regulatory requirements related to treasury operations.
- In-depth knowledge of cash management, debt issuance, and investment strategies.
- Good knowledge of accounting principles & IFRS.
Qualifications and Skills:
- Bachelor's degree in finance, accounting, or a related field.
Salary
Very attractiveApplication Closing Date: Not specified
Application Instructions:
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Job Information
Deadline
Not specified
Job Type
Full-time
Industry
Finance/ Accounting
Work Level
Experienced
State
Lagos
Country
Nigeria