Apply for jobs with your free online cv
Get jobs on your
mobile phone

Finance Manager

Remuneration:Market related 
Location:Namibia, Windhoek
Type:Permanent
Reference:#AD
Company:AKA Recruitment International


Our client, an established Tour Company seeks to employ a financial manager to maintain all necessary accounting procedures and to lead a team of highly motivated team leaders and accounts personnel. If you are seeking an exciting new position where you will be able to take the next step in your career and catapult your career to new heights then apply today.

Key performance areas:

Financial operations:
  • Ensure that policies are monitored as per the manual and local control guidelines
  • Preparation of financial statements and regular review of business performance
  • Budget/forecast preparation as per the reporting framework
  • Liquidity management and planning: regular cash forecasting
  • Control accurate accounting of all overhead expenditure including Journal entry review
Accounting close and consolidation:
  • Establish and maintain timely and meaningful control and reporting on cost and accounts payable/sales and accounts receivable
  • Perform monthly VAT reconciliation and heck data consistency between subledgers and general ledger
AR, AP and cash management:
  • Implement and control procedures to ensure Accounts Payable and Receivable is processed to the standards set out in the respective guidelines
  • Ensure all funds are collected in accordance with contract terms and condition and payments are allocated on a FIFO basis
Cost accounting management:
  • Monthly management reports for Executive Management
  • Control overhead expenditure against set budgets and prudently allocate resources
Finance system management:
  • Become a super user of the local operating system (Passion) and Finance reporting system (OneStream)
Taxation planning and management:
  • Ensure all tax management and controls are in line with legal requirements and optimised for the commercial reality of the business
Treasury - banking and cash flow management:
  • Manage the financial strength and cash flow of the company ensuring a positive liquidity and solvency ratio
  • Ensure bank charges are negotiated and minimized where possible
  • Implement an investment strategy to optimize return on cash flow
  • Ensure up to date systems and technology is kept up to date increasing efficiency and reducing risk
Company risk management:
  • Ensure all financial controls are in place and functioning effectively
  • Ensure all finance procedure are documented and the company adheres to all applicable laws and regulations
Qualifications and experiences:
  • Matric/tertiary education in finance
  • Minimum four years’ experience in a similar position within the tourism industry
Competencies required:
  • Excellent English communication skills
  • Computer literate and experience with passion and finance reporting system (OneStream)
  • Highly organised and able to multitask
  • Exceptional leadership and interpersonal skills
If you meet the above requirements, and if you are interested in the position, please send your CV to .

Posted on 08 Jan 13:06

Apply by email
Ashley

Or apply with your Biz CV
Create your CV once, and thereafter you can apply to this ad and future job ads easily.


AKA Recruitment International

AKA Recruitment International places foreign language, internationally skilled and local talents within local and international companies. We draft personalised recruitment solutions for our clients, taking into account recruitment needs, timelines and budgets.

View company profile