26 Feb 2026

Regional Finance Manager at IFS International Facilities Services

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Job Description


Zambia

Purpose of the Role:

  • To manage and co-ordinate site-based financial support to the Business.
  • To drive and consolidate regional sites financial management and reporting, ensuring that the information is correct and reconciled.
  • To provide regular and ad hoc analytics and performance dashboards that act as an early warning system; provide insight into the Operation; and facilitate decision-making.
  • To ensure corporate governance compliance across the regional sites.
  • To be responsible for capacity building efforts of regional finance teams.

Key Responsibilities:

  • Strategic Contribution
    • Ensure regional implementation of the financial strategic plan and key objectives that serves as a framework for making decisions.
    • Provide financial insight to the region’s leadership teams and ensure long term operational sustainability.
    • Ensure that assigned and agreed strategic targets are operationalised and achieved.
    • Perform comprehensive reviews of regional financial reports and identify and implement preventative and corrective actions to address issues found during the reviews.
  • Budgeting and Forecasting
    • Lead the inputs for the formulation of the regional budget.
    • Consolidate the regional annual budget inputs, conduct reasonableness checks and submit to the Group Finance Manager.
    • Liaise with regional sites regarding capex budget submissions and collate the capex budgets for the region.
    • Closely monitor regional budget vs actuals and drive corrective initiatives where necessary.
  • Weekly, Monthly and Annual Financial Reporting
    • Coordinate the weekly and monthly financial reporting from regional sites to ensure that it is accurate and on-time.
    • Coordinate the region’s weekly, monthly and yearly financial close and take responsibility for accurate reporting within the defined deadlines, including stock takes and debtors’ invoicing.
    • Perform comparative analyses on the financial system to assess the results to budget, forecasts and last year to test accuracy and reasonableness.
    • Consolidate commentary from regional sites and submit to the Group Finance Manager on the weekly and monthly financial results being reported.
    • Perform a weekly debtors’ analysis and in-depth interrogation of any debtor over terms.
    • Prepare the regional sites debtors’ reports with associated explanations for status.
    • Conduct inventory analyses relating to purchases and usage of different product items.
    • Oversee the monthly regional sites petty cash, credit card and petrol card reconciliations.
    • Through regular review, ensure that there are no high risk audit exceptions.
    • Analyse month-end reconciliations and related analysis of all regional site accounts.
    • Prepare the submission and monthly reconciliation of any statutory returns including VAT, Income Tax and payroll taxes for all regional sites.
    • Perform comprehensive reviews of regional financial reports and identify and implement preventative and corrective actions to address issues found during the reviews.
  • Technical Expertise and Commercial Insight
    • Conduct training and development for regional site-based staff involved in financial management and administration.
    • Provide commercial insight in the implementation of regional projects.
    • Plan and develop best practice, systems, processes and procedures to enable continued improvement that meets the needs of the Business in times of change.
  • Governance Compliance
    • Ensure compliance with in-country financial legislation and Business-wide operational procedures and internal controls.
    • Ensure international compliance with capex application and procure to payment processes.
  • Asset Management
    • Ensure the assets of IFS are fairly reported through periodic asset verifications and compliance with IFRS principles.
    • Ensure appropriate wear and tear and depreciation rates are applied consistently and in line with IFRS principals and current in-country tax legislation.
    • Manage asset movements, additions, transfers and disposals.
    • Review fixed asset reconciliations.
    • Ensure sales of assets are fully transacted before closing month end.
  • Additional Financial Management
    • Assure timely and accurate invoicing.
    • Make recommendations to improve the quality of invoicing and collection procedures.
    • Ensure all internal and external stakeholders are receiving the correct level of finance services in accordance with agreed service levels and contractual requirements.
  • Capacity Building
    • Conduct training and coaching for the site financial controllers to ensure that they maintain the same standard across the board.
    • Identify the needs and support in the development of the finance teams on site to increase their competence in preparation of financial reports in line with Company standards.
    • Participate in the recruitment process and selection of finance staff for regional sites.

Education and Experience:

  • Ideally a CA/ACCA qualification or a similar professional qualification in finance or accounting.
  • At least 7 years’ relevant experience in similar environment.
  • Experience in managing multiple business units/ sites/ operations.
  • Experience in Mining, Oil & Gas, Construction, and Facilities Management sectors would be preferred.
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Method of Application

Submit your CV and Application on Company Website : Click Here

Closing Date : 28th February, 2026.




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