
Novella Africa Limited
Responsibilities
Strategic Financial Leadership
Provide strategic financial input to senior management to support decision-making.
Lead long-term financial planning, scenario modeling, and strategic initiatives aligned with company goals.
Contribute to the development of financial and operational strategies, KPIs, and performance metrics.
Drive business growth through data-driven financial insights and alignment of finance with business strategy.
Lead capital raising efforts and maintain strong relationships with investors and funding partners.
Prepare investor materials, including pitch decks, financial models, and data rooms.
Financial Strategy, Planning, Analysis & Control
Develop and execute comprehensive financial strategies to drive profitability and scalability.
Lead annual and monthly budgeting, forecasting, and financial performance analysis.
Prepare accurate cash flow forecasts and manage liquidity to meet operational needs.
Conduct investment analysis and scenario planning to support strategic decision-making.
Monitor financial goals and track progress against budget and strategic objectives.
Financial Oversight, Controls & Reporting
Oversee the full financial management lifecycle with strong internal controls and accounting procedures.
Review and analyze financial scorecards and performance reports monthly, explaining variances and recommending actions.
Ensure timely and accurate preparation of financial statements (P&L, balance sheet, and cash flow reports).
Implement financial systems (e.g., ERP, budgeting tools) to improve reporting and operational efficiency.
Oversee expense management, receivables/payables, daily bank postings, reconciliations, and resolution of open items.
Collaborate with Product and Engineering to integrate financial considerations into product features.
Risk Management, Regulatory & Tax Compliance
Identify and assess financial risks and opportunities, proposing mitigation strategies.
Ensure full transparency and timely communication of potential financial risks.
Guarantee compliance with statutory regulations (e.g., CBN, FIRS), international financial standards, and licensing requirements.
Oversee tax filings, statutory reporting, and interface with auditors and regulators.
Treasury & Cash Management
Manage cash flow, working capital, and liquidity to ensure financial stability and operational effectiveness.
Optimize bank relationships and cross-border payment flows.
Develop and maintain cash flow projections and investment strategies aligned with liquidity needs.
Oversee daily treasury operations, including deposit management and reconciliation processes.
Cross-Business Financial Leadership
Act as finance lead across multiple business units or subsidiaries, providing financial insights and support.
Collaborate with business leaders to align financial planning with operational strategies.
Lead and scale the finance team, ensuring capacity building through coaching and continuous training.
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