Finance Manager

LEOFAM BUSINESS GROUPAddis Ababa
2 days ago • Field: Finance & Investment
Employer: Private Company • Full-time • Senior

Scraped from: Ethiojobs, HaHu Jobs

About us LeoFam Group is a diversified business group with multiple brands operating across lifestyle, hospitality, and real estate sectors. Driven by a vision to create iconic destinations, LeoFam Group is committed to redefining luxury, innovation, and customer experience. Through exceptional products, memorable experiences, and sustainable growth, the Group delivers long-term value to its customers, employees, partners, and the communities it serves. Reports To: Chief Executive Officer (CEO) Department: Finance Job Summary The Finance Manager is responsible for overseeing the organization's financial operations, ensuring sound financial management, compliance, and strategic financial planning. The role manages budgeting, financial reporting; cash flow, taxation, audits, payroll oversight, and financial controls while providing management with accurate financial insights to support decision-making and business growth. Key Responsibilities Financial Planning & Strategy • Develop and implement financial strategies aligned with organizational objectives. • Lead annual budgeting and forecasting processes. • Provide financial analysis and recommendations to support strategic decisions. • Monitor financial performance and identify opportunities for cost optimization and revenue enhancement. Financial Management & Reporting • Prepare monthly, quarterly, and annual financial statements and management reports. • Ensure accurate recording of all financial transactions. • Analyze financial data and present findings to senior management. • Monitor key financial indicators and organizational performance. Budgeting & Cost Control • Develop, monitor, and control departmental and organizational budgets. • Track actual expenditures against budgets and investigate variances. • Implement cost-control measures and financial efficiency initiatives. • Support managers in budget planning and expenditure management. Cash Flow & Treasury Management • Manage cash flow to ensure sufficient liquidity for operations. • Monitor bank accounts, cash balances, and working capital requirements. • Oversee payment schedules and receivables collection. • Develop cash flow forecasts and financial projections. Accounting & Financial Controls • Ensure compliance with accounting standards and internal control procedures. • Oversee accounts payable, accounts receivable, and general ledger functions. • Establish and maintain effective financial control systems. • Ensure proper documentation and safeguarding of company assets. Taxation & Compliance • Ensure compliance with tax regulations and statutory requirements. • Coordinate tax filings, payments, and reporting obligations. • Liaise with government authorities, auditors, and regulatory bodies. • Monitor changes in financial and tax regulations affecting the organization. Audit Coordination • Prepare for internal and external audits. • Coordinate audit activities and ensure timely resolution of audit findings. • Implement recommendations to strengthen financial controls and compliance. Payroll & Benefits Oversight • Oversee payroll processing to ensure accuracy and timeliness. • Ensure compliance with statutory deductions and employee benefit requirements. • Review payroll reports and approvals. Team Leadership • Lead, mentor, and develop finance and accounting staff. • Set departmental objectives and monitor team performance. • Promote professional development and continuous improvement within the finance team.

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