Corporate Finance Manager at Genesis Energy Holding

Genesis Energy Holding (GENESIS) is an Energy Infrastructure Development and Management Company with operations in various African countries. The Company was established in Mauritius and is regulated by the laws in force in the Island of Mauritius.

We are recruiting to fill the position below:


Job Title: Corporate Finance Manager

Location: Abuja
Employment Type: Full Time

About the Job

  • The corporate finance manager is responsible for financial planning and execution of a company's short- and long-term business goals.
  • This includes managing the financial health (performance) of the Subsidiaries within the Group in order to promote success and growth while assessing potential investment risk.  
  • Also support the company’s effort to maintain efficiency and compliance in commercial operations and cash-flow activities and management of debt instruments (commercial papers, ODs, direct loans etc) also suggesting compelling alternatives to ensuring profitability, including and not limited to ensuring integrity to financial management and reporting of the company.


  • Carry out periodic appraisals, reviews and analysis of the financial performance of all   OPCOs (subsidiaries within the group)
  • Report on financial performance of the Business and Subsidiaries (P&L, Bal. sheet etc)
  • Oversee individual Company’s transaction processing systems and establish and implement the financial procedures and operational best practices.
  • Ensure cash flow is appropriate for the each Opco’s operations
  • Budgeting and forecasting.
  • Review the management regulation and procedure of the company 
  • Understand and mitigate key elements of the company's risk profile 
  • Construct and monitor reliable control systems 
  • Maintain appropriate insurance coverage for the organization
  • Payroll Managements
  • Statutory remittances and compliances
  • Dealing with working capital management and production of cash flow forecasts for OPCO’s
  • Advising on investment activities and provide strategies that the company should take
  • Responsible for managing investments. This includes portfolio management, asset allocation, and risk management.
  • Conduct investment analysis to ascertain viability of prospective business.
  • Business enterprise valuations and financial performance restructuring 
  • Corporate finance of cash-flow leveraging, debt instruments (commercial papers, ODs, direct loans etc)
  • Manage the budgeting & reforecast processes, implement budget control 
  • Develop performance measures that support the company's strategic direction 
  • Conduct thorough analyses and risk assessments of new investments 
  • Any other duties assigned.

Key Performance Indicators:

  • Submission of Financial Reports within set and agreed timelines
  • Responsible for investment analysis, appraisals and recommendations
  • Responsible for sourcing debt capital, loans, bonds and other financing instruments for OPCOs.
  • Zero tolerance to company’s exposure to financial or regulatory risks
  • Gross Profit Margin vs Net profit Margin monitoring & analysis for OPCOs and other reportings
  • Accuracy, speed and efficiency of transactional processing
  • Healthy account payable turnover
  • % of variance vs expense budget
  • Performance dashboard for Group Operations reporting


  • University Degree / HND in Finance / Accounting / other related fields 
  • MBA or MSC from a Well recognised Institution will be an added advantage
  • ACA or ACCA from Chartered Accountant’s body
  • Experienced in energy infrastructure development, financing and financial operations


  • 7-10 years post graduate experience, out of which 3 years should have been spent in a related function preferably in the utility or Energy industry and/or Investment Banking sector.


How to Apply
Interested and qualified candidates should send their Applications & CV to: [email protected] using the Job Title as the subject of the email.