Job Title: CORPORATE FINANCE MANAGER
Department: Finance
Location: Lagos
Reporting To: Senior Manager Treasury
Employment Status: Permanent
-Implement optimal Financing structure;
-Source for debts (i.e. Long and short term);
-Renegotiate existing facilities with a view of maintaining target cost of debt;
-Review financial documents and agreement from advisers;
-Review proposal and select financial advisers for management approval;
-Ensure that Conditions precedent are completed and met and no breach occurs;
-Monitor banking covenants and reporting to the relevant agents as may be specified in the loan docs;
-Review Fees that are proposed and make recommendations to management;
-Manage Loans and Facilities administration;
-Ensure all interest and fees are paid as at when due;
-Review and approve Accruals for month and Year End as it relates to loan and facilities;
-Ensure all necessary reports are submitted to Common and Local Agent as and when due;
-Act as MTNN custodian of the medium term financing portfolio and ensure that all certifications, disclosures, representations, financial documentation, financial covenants are complied with;
-Assist in designing and implementing optimal dividend policy;
-Ensure all required approvals from regulatory authorities are in place (CAC ,SEC,NSE and CBN Trade and Exchange department;
-Make recommendations to management on the optimal type of dividend payable to shareholders;
-Manage shareholders distribution (loans and dividend) effectively;
-Manage Concentration and pricing risk relating to dividend and shareholders loan;
-Make recommendation on Strategic acquisitions and Divestments;
-Prepare initial dossier on the intended investment;
-Determine the need for Financial Advisers;
-Review any financial Analysis and make recommendations on strategic Investments;
-Make recommendation on strategic Investments;
-Manage supplier credit and liaise with Export credit guarantee agencies;
-Manage and implement an efficient Cash flow forecast tool for MTNN operations;
-Manage MTNN shareholder’s recapitalisation process as it relates to Treasury;
-Analyse economic conditions, the financial climate, and changes in corporate requirements in order to pre-empt and manage exposure;
-Work closely with senior treasury manager on special projects especially relating to managing debt and equity gearing for the company;
-Analyse inter-company transactions, loan positions and coordinate execution of documentation;
-Assist in the preparation of Board Paper and memoranda submissions;
-Group and Stake holders reporting on corporate finance.
Job Conditions:
-Normal MTNN working conditions;
-Extended working hours.
Required Skills:
-At least 8 years work experience which includes:
-At least 6 years cash management / foreign exchange experience;
-At least 2 years in the corporate finance function of a reputable organisation in the Financial Services Sector or multinational corporate treasury experience;
-Experience in international trade finance, foreign exchange activities, and cash management;
-Familiarity with capital markets and financial investment securities;
-Experience with equity, hybrid or debt investments either at a corporation, investment bank, or accounting, law, tax, or investor relations firm;
-Experience in a managerial/ supervisory role.
Qualification:
-A first degree in Accounting, Economics or any other Finance related discipline;
-A professional Accounting degree (ACA, ACCA, CFA, CIMA)
This vacancy expires on 11th February 2011.
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