Chief Financial Officer – Medical at CVPeople Tanzania

Share and send to your friends !

Chief Financial Officer – Medical


CVPeople Tanzania | Full time

Dar , Tanzania | Posted on 09/07/2021

Job Description

Ensuring and maintaining accurate bank reconciliations through prudent assurance that the monthly transactions are all in order and books balanced, ensuring that objective and accurate data is captured into the ledgers and by extension while ensuring adequate management of the corporate treasury section and maintenance of accurate bank reconciliations

Main Responsibilities

1. Managing and ensuring monthly performance reporting for medical divisions

2. Providing quarterly reporting to Commissioner

3. Preparing and providing half year performance reporting

4. Preparing and availing annual budget for the section

5. Ensuring annual closing and production of financial statements

6. Overall over-seeing of expense schedule preparation

7. Participating in preparation of AKFED monthly & quarterly reports

8. Developing, training, motivating, and evaluating departmental staff to achieve highest levels of performance

9. Identifying, implementing, and benchmarking best practices in management

10. Determining & coordinating departmental reporting and communication requirements

11. Cheque confirmations and MIFT (Manually initiated funds transfers) instructions and internal/ inter-account/ interbank transfers

12. Liaison and relations between the company and its bankers for all appropriate transactions

13. Booking of deposits and liquidations to facilitate account funding and investments including forex deals/ settlements and forex cheques/ drafts (international transactions)

14. Accounting for incoming and outgoing RTGS/TTs/SWIFT/EFTs and issuing of disposal and bank stop payment instructions

15. Debits/credits –EFTs unapplied/recalled/unpaid (interbank, internal-agents’ commission processing)

16. Tender security bonds and other responsibilities – e.g., calls for details of credits/debits, bank balance confirmations, auditors’ circularization, bank statement requests, etc.

17. Planning of company cash flow by analyzing trends, using available information and interaction with the relevant business units and the company’s budgets.

18. Assisting and managing the treasury function during audits and leading the business continuity projects for the Treasury unit.

19. Generating reports and essential schedules for financial year-end and interim/statutory audit and the production and provision of appropriate treasury-related reports and guidelines.

20. Bank transaction (electronic/hard copy) receipting, data processing and capturing into GL and attendant subsidiary ledgers.

21. Cash/bank balances control and investments (in liaison with the investments section)

22. Medical business operations (receipts, payments, commissions, withdrawals)

23. Bank reconciliations for all the company’s accounts, adjustments/ journals, and investigations.

24. All treasury-related queries and correspondences; processing and responding to queries and liaison – banks, internal staff, and clientele.

25. Underwriting investigations and premium confirmations

26. Several authorizations necessary for the fulfillment of the foregoing duties.

27. Coordination of system development and implementation.

28. Managing of incoming payments made at the company branches.

29. Head and team member of internal/external audits (ISO)

30. Developing, training, motivating, and evaluating departmental staff to achieve highest levels of performance

31. Identifying, implementing, and benchmarking best practices in management

32. Determining & coordinating departmental reporting and communication requirements

2 or 3 Key Deliverables or this position

1. Service delivery in monthly management accounts

2. Service Delivery

3. Customer Satisfaction

4. Safeguarding company’s assets (cash) and overall operational efficiency and effectiveness of the company’s cash, bank and general ledger resulting in a proper and reliable databank for the company’s bank accounts.

5. Contributes to negotiating best deals especially forex ones for the company and contributes to the maximization of benefits on the company’s cash or bank (account) transactions.

Academic Qualifications

1. BCom, CPA(T)

2. Proficient in the use of Oracle Financials and other relevant financial accounting modules

3. Proficient in the use of Microsoft Office Suite and packages

Functional Skills

1. Performance reporting and Management

2. Policy Processing

3. Internal controls and risk management measures

4. Knowledge of Application delivery

5. Customer care

1. Visionary Leadership

2. Entrepreneur Spirit

3. Market Awareness

4. Customer Focus

5. Continuous Innovation

6. Ownership & Commitment

7. Team Spirit

At least 7yrs industry experience