We
are seeking a highly skilled and detail-oriented Senior
Finance Manager to strengthen our financial management systems, ensure
compliance with accounting and tax standards, and provide
strategic financial insights for decision-making. The
ideal candidate will oversee all aspects of accounting,
budgeting, financial forecasting, and auditing, ensuring
transparency, efficiency, and profitability across all
business units.
Key Responsibilities
Financial Management & Accounting
Oversee the preparation of accurate monthly, quarterly, and annual financial statements.
Develop and implement a robust cost centre structure to enhance expense tracking and performance management.
Maintain cash flow management systems to ensure structured inflows and outflows across departments.
Supervise payroll processing, ensuring accurate payment details, salary increments, and severance packages are properly documented.
Manage pension and long-term employee benefit accounts, ensuring compliance and proper record-keeping.
Conduct regular bank reconciliations and ensure all payments and receipts are properly logged.
Budgeting & Forecasting
Develop and maintain a comprehensive budgeting framework for the company, with quarterly reviews and variance analysis.
Lead the preparation of financial forecasts and investment portfolios, supporting strategic planning and business growth.
Provide financial modelling and scenario analysis to support key investment and expansion decisions.
Auditing & Compliance
Establish and oversee auditing processes and internal control procedures to ensure compliance with statutory regulations.
Ensure timely filing of tax returns, VAT, PAYE, and other statutory obligations.
Coordinate annual audits with external auditors and provide all required documentation.
Project & Board Accounting
Maintain project management accounting records, tracking income, costs, and profitability for each project.
Implement board management accounting practices, including periodic financial reports and analysis for management and shareholders.
Align foreign business accounting and reconciliation procedures for international clients and transactions.
Process & Systems Development
Document and standardize accounting workflows for efficiency and transparency.
Introduce automation tools for quick reconciliations, financial reporting, and performance tracking.
Build indices and dashboards for easy financial reporting and data-driven decision-making.
Requirements
Qualifications
& Experience
Bachelor’s degree in Accounting, Finance, or related field (Master’s degree or MBA preferred).
Professional certification (ICAN, ACCA, or CPA) is desired .
Minimum of 5–7 years experience in accounting or finance within the engineering, manufacturing, or construction industry.
Strong knowledge of IFRS, financial reporting standards, and tax regulations .
Proven experience managing budgeting, forecasting, and auditing processes.
Excellent command of accounting software ( Zoho Books, QuickBooks, Sage, or similar).
Key
Skills & Competencies
Strong analytical and quantitative skills.
High attention to detail and accuracy.
Excellent communication and reporting abilities.
Strong organizational and leadership skills.
Ability to manage multiple projects and meet deadlines.
Strategic thinker with sound judgment and problem-solving capability.
Benefits
Compensation
& Benefits
Competitive salary based on experience.
Performance-based bonuses.
Pension and health benefits.
Professional development opportunities.
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