Finance & Account Manager at Financial Institutions Training Centre (FITC)


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Financial Institutions Training Centre (FITC) is a world-class, innovation-led, technology-driven, knowledge and professional services institute that provides cutting edge Learning, Advisory and Research Services to organizations primarily within the Financial Services Sector across Nigeria and sub-Saharan Africa.

We are recruiting to fill the position below:

Job Title: Finance & Account Manager

Location: Lagos
Employment Type: Full-time
Report To: Chief Financial Officer (CFO)
Team Strength: 4 Accountants
Department: Finance & Accounts

Job Purpose

  • To oversee and manage the end-to-end finance function — including financial reporting, budgeting, compliance, treasury, and control — ensuring accuracy, efficiency, and strategic alignment with the organization’s goals.
  • The role supports the CFO in driving financial performance, governance, and operational excellence.

Key Responsibilities
Financial Reporting and Accounting:

  • Supervise day-to-day accounting operations and ensure timely month-end and year-end closing.
  • Review and approve journal entries, reconciliations, and financial schedules prepared by the accounting team.
  • Prepare accurate and timely management accounts, financial statements, and variance analyses.
  • Ensure compliance with IFRS, local statutory requirements, and internal accounting policies.
  • Coordinate with external auditors for annual audits and resolve audit queries promptly.

Budgeting, Forecasting, and Planning:

  • Lead the annual budgeting and periodic forecasting process in collaboration with departmental heads.
  • Monitor financial performance against budget and provide insight on variances.
  • Develop financial models to support strategic planning and business decisions.
  • Provide the CFO with analysis and recommendations on cost optimization and revenue enhancement.

Treasury and Cash Flow Management:

  • Oversee cash management, ensuring sufficient liquidity for operations and investments.
  • Manage bank relationships, optimize cash utilization, and monitor loan obligations.
  • Review and authorize payment runs, transfers, and investment placements.
  • Implement robust controls over cash, banking, and treasury transactions.

Internal Controls and Compliance:

  • Maintain a strong internal control environment across all finance processes.
  • Ensure compliance with tax laws, regulatory reporting, and corporate governance standards.
  • Periodically review financial policies and procedures for relevance and effectiveness.
  • Conduct periodic internal checks to identify control gaps and recommend improvements.

Team Leadership and Development:

  • Lead, coach, and develop a team of accountants to ensure high performance and continuous learning.
  • Delegate responsibilities effectively while maintaining oversight and accountability.
  • Foster a collaborative and disciplined team culture aligned with Finance’s strategic goals.
  • Conduct regular performance reviews and identify training or capacity development needs.

Business Partnering and Strategic Support:

  • Collaborate with departmental heads to provide financial insight and decision support.
  • Evaluate new business initiatives, contracts, and investment proposals for financial viability.
  • Support the CFO in strategic planning, board reporting, and stakeholder communications.
  • Serve as deputy to the CFO when required, ensuring business continuity and alignment.

Systems and Process Improvement:

  • Oversee the maintenance and optimization of the accounting/ERP system.
  • Drive automation and process efficiency within the finance function.
  • Ensure data integrity and support the CFO in digit

Requirements
What you will be required:

  • Bachelor’s Degree in Accounting, Finance, or related field required.
  • CPA, ACCA, or equivalent professional accounting qualification highly preferred.
  • 6–8 years of progressive experience in finance and accounting, with at least 2–3 years in a supervisory role.
  • Proven experience with financial reporting, budgeting, forecasting, and financial analysis.
  • Demonstrable experience in treasury management principles, including cash flow optimization and basic investment/risk management.
  • Strong understanding of tax regulations and audit processes, with experience coordinating with external consultants and auditors.
  • Proficiency in project financial analysis, cost accounting, and gross margin analysis.
  • Advanced proficiency in accounting software (e.g., QuickBooks, Microsoft Excel, etc.).
  • Excellent analytical, problem-solving, and decision-making abilities.
  • Excellent written and verbal communication skills, with the ability to present financial information clearly to both finance and non-finance audiences.
  • Strong organizational skills and thorough attention to detail.
  • Ability to work independently, manage multiple priorities, and meet deadlines.

What We Offer

  • Fairly competitive salary and benefits package, a great team environment and hybrid working options.

Application Closing Date
27th November, 2025.

Method of Application
Interested candidates should send their CV and cover letter to: [email protected] using “Finance & Account Manager Application – [Your Name]” subject of the email.

Note: Shortlisting of applicants for Interview will be on a rolling basis and ONLY qualified candidate will be contacted.