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Join our dynamic team at Lextorahlds as a Building Technologies Specialist. In this pivotal role, you will be responsible for implementing and managing innovative building technology solutions that enhance the efficiency, safety, and sustainability of our projects.
Join our dynamic team at Lextorahlds as a Building Technologies Specialist. In this pivotal role, you will be responsible for implementing and managing innovative building technology solutions that enhance the efficiency, safety, and sustainability of our projects.
As a Fleet Maintenance Officer at Lextorahlds, you will play a crucial role in ensuring the optimal performance and safety of our fleet. You will be responsible for overseeing the maintenance and repair of vehicles, coordinating with service providers, and implementing preventive maintenance programs. This position requires attention to detail, a strong understanding of vehicle mechanics, and excellent organizational skills.
Join Lextorahlds as a Grid Connection Manager, where you will play a crucial role in overseeing grid connection projects. Your expertise will ensure seamless integration and compliance with regulatory standards. If you are passionate about renewable energy and grid infrastructure, we want to hear from you!
Lextorah Holdings is seeking a highly motivated and experienced Civil Works Foreman to oversee road, bridge, and heavy concrete projects. As a foreman, you will be responsible for managing construction activities on-site, ensuring that projects are completed on time, within budget, and to the highest quality standards.Your leadership will be crucial in coordinating teams, managing resources, and maintaining safety regulations. You will work closely with project managers and engineers to implement plans and resolve any issues that arise during construction.
About UsAt Renmoney, we prioritize financial discipline, operational excellence, and data-driven decision-making. Our finance team collaborates closely with senior management and cross-functional leaders to provide insights that enhance performance across various regions and channels.Position OverviewThe Senior Associate in Financial Planning & Analysis (FP&A) is crucial for financial planning, budgeting, forecasting, and evaluating business performance. This role supports senior management by delivering data-driven insights, sophisticated financial modeling, and strategic recommendations aimed at refining business decisions. The FP&A Analyst works in conjunction with diverse teams to uphold financial discipline and operational effectiveness.Key ResponsibilitiesFinancial Planning & ForecastingPerform scenario and sensitivity analyses to aid long-term planning.Contribute to the annual budgeting and forecasting processes.Analyze discrepancies between actual results, budgets, and forecasts, providing actionable insights.Financial Reporting & AnalysisPrepare monthly, quarterly, and annual financial reports for management and stakeholders.Conduct profitability analyses across regions and channels.Identify trends, risks, and opportunities through financial and operational KPIs.Business Partnering & Decision SupportAct as the primary finance business partner to Regional Directors and Channel Heads, delivering timely and insightful financial analyses.Conduct rigorous profitability analyses to pinpoint high-value and underperforming regions and channels.Offer ad-hoc financial analyses to back strategic initiatives including pricing and cost optimization.Assess business cases for new projects, investments, or cost-saving opportunities.Process Improvement & SystemsStandardize reporting templates and analytical frameworks across all regions.Utilize SQL and BI tools like Power BI and Tableau to enhance reporting efficiency.Ensure the accuracy and integrity of data across financial systems.
About UsAt Renmoney, we are a finance-centric organization dedicated to meticulous financial planning, insightful performance analysis, and strategic support for the growth of our cards business. Our Financial Planning & Analysis (FP&A) team collaborates closely with senior leadership and various departments to enhance product profitability, optimize our portfolio, and promote sustainable growth through data-driven insights and rigorous financial management.Your RoleThe Senior Associate in FP&A is pivotal in steering our financial planning, budgeting, forecasting, and analysis of business performance. This role empowers senior management with data-centric insights, sophisticated financial models, and strategic recommendations aimed at refining our business decisions. You will work alongside cross-functional teams to uphold financial discipline and ensure operational excellence.Key ResponsibilitiesFinancial Modelling & Scenario Analysis: Develop and maintain comprehensive financial models for credit and debit cards to evaluate business performance. Conduct scenario analyses to support strategic long-term planning, and assist with M&A diligence and integration as needed.Financial Planning & Forecasting: Contribute to the annual budgeting process, encompassing revenue, expenses, and capital expenditures. Create and maintain rolling forecasts that adapt to evolving business conditions. Analyze variances between actual results, budgets, and forecasts, providing actionable insights.Business Partnering & Decision Support: Offer insights for product profitability and support portfolio management. Collaborate with department leaders to monitor performance against financial objectives, and provide ad-hoc financial analyses to facilitate strategic initiatives such as pricing strategies, cost optimization, and investments. Assess business cases for new projects and cost-saving opportunities.Financial Reporting & Analysis: Generate monthly, quarterly, and annual financial reports for management and stakeholders. Perform profitability analyses by business unit, product line, and region, while identifying trends, risks, and opportunities through various financial and operational KPIs.Process Improvement & Systems: Drive enhancements in financial planning processes through automation and the application of best practices. Utilize SQL and BI tools like Power BI and Tableau to elevate reporting efficiency and ensure data accuracy and integrity across financial systems.
Role overview Speechify is looking for a Tech Lead in Lagos, Nigeria to guide the direction and execution of web core products and Chrome extension projects. This position focuses on leading an engineering team, shaping technical decisions, and ensuring that software meets high standards for quality and user experience. The team’s work supports both feature development and the growth of Speechify’s product offerings. What you will do Lead and mentor engineers working on web core products and Chrome extension projects Set technical strategy and oversee its implementation Deliver reliable, user-friendly software Improve current products and help support expansion into new markets Requirements Proven experience leading engineering teams Strong background in web technologies and Chrome extension development Ability to make technical decisions and guide others Interest in working on products with a broad user base Location This role is based in Lagos, Nigeria.
About UsRenmoney is a dynamic, finance-oriented organization dedicated to meticulous financial planning, performance evaluation, and informed decision-making throughout our daily banking and deposit operations. Our Financial Planning and Analysis (FP&A) team works hand-in-hand with senior leadership and various departments to foster revenue growth, optimize funding costs, and enhance operational efficiency in our core banking services.Position OverviewThe Senior Associate in FP&A will play an essential role in financial strategy, encompassing budgeting, forecasting, and performance analytics. You will support senior management by delivering insightful, data-driven analyses, robust financial models, and strategic recommendations aimed at refining business decisions. This role requires close collaboration with cross-functional teams to uphold financial integrity and optimize operations.Your contributions will directly impact the financial support for daily banking and deposit services, including revenue modeling, case evaluations, performance monitoring, and funding cost optimization.Key ResponsibilitiesFinancial Planning & ForecastingDesign and enhance financial models, validating and back-testing results.Participate in the annual budgeting process, encompassing revenue, expenses, and capital expenditures.Develop and sustain rolling forecasts reflecting evolving business dynamics.Analyze discrepancies between actual performance, budgets, and forecasts, delivering actionable insights.Financial Reporting & AnalysisGenerate monthly, quarterly, and annual financial statements for management and stakeholders.Conduct profitability assessments by business unit, product line, or geographical region.Identify trends, risks, and opportunities through financial and operational key performance indicators (KPIs).Business Partnering & Decision SupportOffer insights on funding cost optimization and liquidity management.Work closely with department leaders to monitor financial performance against established targets.Deliver ad-hoc financial analyses to support strategic initiatives including pricing strategies, cost optimization, and investment assessments.Evaluate business cases for new projects, investment opportunities, or cost-saving measures.Financial Modeling & Scenario AnalysisConstruct and maintain intricate financial models to evaluate business performance.Conduct scenario and sensitivity analyses to assist in long-term strategic planning.Support mergers and acquisitions due diligence and integration processes, if applicable.Process Improvement & SystemsRefine financial planning workflows through automation and adherence to best practices.Leverage SQL and business intelligence tools such as Power BI and Tableau to enhance reporting efficiency.Ensure accuracy and integrity of data across financial systems.RequirementsWhat We're Looking For:Proven experience in financial planning and analysis, preferably within a banking or financial services environment.Strong proficiency in financial modeling and analytical techniques.Excellent communication and interpersonal skills to facilitate effective collaboration across teams.Ability to thrive in a fast-paced, data-driven environment.
We are seeking dynamic and results-oriented middle and senior management professionals in the fields of Asset Management, Stockbroking, and Financial Advisory. The successful candidates will:Drive continuous growth in Assets Under Management (AUM) and enhance brokerage volumes.Originate and mobilize funds through a variety of liability products and establish strong treasury relationships.Expand and deepen relationships with institutional, corporate, and high-net-worth clients.Enhance market presence across the Group’s diverse operating platforms.
Join our dynamic team at Lextorahlds as a Building Technologies Specialist. In this pivotal role, you will be responsible for implementing and managing innovative building technology solutions that enhance the efficiency, safety, and sustainability of our projects.
As a Fleet Maintenance Officer at Lextorahlds, you will play a crucial role in ensuring the optimal performance and safety of our fleet. You will be responsible for overseeing the maintenance and repair of vehicles, coordinating with service providers, and implementing preventive maintenance programs. This position requires attention to detail, a strong understanding of vehicle mechanics, and excellent organizational skills.
Join Lextorahlds as a Grid Connection Manager, where you will play a crucial role in overseeing grid connection projects. Your expertise will ensure seamless integration and compliance with regulatory standards. If you are passionate about renewable energy and grid infrastructure, we want to hear from you!
Lextorah Holdings is seeking a highly motivated and experienced Civil Works Foreman to oversee road, bridge, and heavy concrete projects. As a foreman, you will be responsible for managing construction activities on-site, ensuring that projects are completed on time, within budget, and to the highest quality standards.Your leadership will be crucial in coordinating teams, managing resources, and maintaining safety regulations. You will work closely with project managers and engineers to implement plans and resolve any issues that arise during construction.
About UsAt Renmoney, we prioritize financial discipline, operational excellence, and data-driven decision-making. Our finance team collaborates closely with senior management and cross-functional leaders to provide insights that enhance performance across various regions and channels.Position OverviewThe Senior Associate in Financial Planning & Analysis (FP&A) is crucial for financial planning, budgeting, forecasting, and evaluating business performance. This role supports senior management by delivering data-driven insights, sophisticated financial modeling, and strategic recommendations aimed at refining business decisions. The FP&A Analyst works in conjunction with diverse teams to uphold financial discipline and operational effectiveness.Key ResponsibilitiesFinancial Planning & ForecastingPerform scenario and sensitivity analyses to aid long-term planning.Contribute to the annual budgeting and forecasting processes.Analyze discrepancies between actual results, budgets, and forecasts, providing actionable insights.Financial Reporting & AnalysisPrepare monthly, quarterly, and annual financial reports for management and stakeholders.Conduct profitability analyses across regions and channels.Identify trends, risks, and opportunities through financial and operational KPIs.Business Partnering & Decision SupportAct as the primary finance business partner to Regional Directors and Channel Heads, delivering timely and insightful financial analyses.Conduct rigorous profitability analyses to pinpoint high-value and underperforming regions and channels.Offer ad-hoc financial analyses to back strategic initiatives including pricing and cost optimization.Assess business cases for new projects, investments, or cost-saving opportunities.Process Improvement & SystemsStandardize reporting templates and analytical frameworks across all regions.Utilize SQL and BI tools like Power BI and Tableau to enhance reporting efficiency.Ensure the accuracy and integrity of data across financial systems.
About UsAt Renmoney, we are a finance-centric organization dedicated to meticulous financial planning, insightful performance analysis, and strategic support for the growth of our cards business. Our Financial Planning & Analysis (FP&A) team collaborates closely with senior leadership and various departments to enhance product profitability, optimize our portfolio, and promote sustainable growth through data-driven insights and rigorous financial management.Your RoleThe Senior Associate in FP&A is pivotal in steering our financial planning, budgeting, forecasting, and analysis of business performance. This role empowers senior management with data-centric insights, sophisticated financial models, and strategic recommendations aimed at refining our business decisions. You will work alongside cross-functional teams to uphold financial discipline and ensure operational excellence.Key ResponsibilitiesFinancial Modelling & Scenario Analysis: Develop and maintain comprehensive financial models for credit and debit cards to evaluate business performance. Conduct scenario analyses to support strategic long-term planning, and assist with M&A diligence and integration as needed.Financial Planning & Forecasting: Contribute to the annual budgeting process, encompassing revenue, expenses, and capital expenditures. Create and maintain rolling forecasts that adapt to evolving business conditions. Analyze variances between actual results, budgets, and forecasts, providing actionable insights.Business Partnering & Decision Support: Offer insights for product profitability and support portfolio management. Collaborate with department leaders to monitor performance against financial objectives, and provide ad-hoc financial analyses to facilitate strategic initiatives such as pricing strategies, cost optimization, and investments. Assess business cases for new projects and cost-saving opportunities.Financial Reporting & Analysis: Generate monthly, quarterly, and annual financial reports for management and stakeholders. Perform profitability analyses by business unit, product line, and region, while identifying trends, risks, and opportunities through various financial and operational KPIs.Process Improvement & Systems: Drive enhancements in financial planning processes through automation and the application of best practices. Utilize SQL and BI tools like Power BI and Tableau to elevate reporting efficiency and ensure data accuracy and integrity across financial systems.
Role overview Speechify is looking for a Tech Lead in Lagos, Nigeria to guide the direction and execution of web core products and Chrome extension projects. This position focuses on leading an engineering team, shaping technical decisions, and ensuring that software meets high standards for quality and user experience. The team’s work supports both feature development and the growth of Speechify’s product offerings. What you will do Lead and mentor engineers working on web core products and Chrome extension projects Set technical strategy and oversee its implementation Deliver reliable, user-friendly software Improve current products and help support expansion into new markets Requirements Proven experience leading engineering teams Strong background in web technologies and Chrome extension development Ability to make technical decisions and guide others Interest in working on products with a broad user base Location This role is based in Lagos, Nigeria.
About UsRenmoney is a dynamic, finance-oriented organization dedicated to meticulous financial planning, performance evaluation, and informed decision-making throughout our daily banking and deposit operations. Our Financial Planning and Analysis (FP&A) team works hand-in-hand with senior leadership and various departments to foster revenue growth, optimize funding costs, and enhance operational efficiency in our core banking services.Position OverviewThe Senior Associate in FP&A will play an essential role in financial strategy, encompassing budgeting, forecasting, and performance analytics. You will support senior management by delivering insightful, data-driven analyses, robust financial models, and strategic recommendations aimed at refining business decisions. This role requires close collaboration with cross-functional teams to uphold financial integrity and optimize operations.Your contributions will directly impact the financial support for daily banking and deposit services, including revenue modeling, case evaluations, performance monitoring, and funding cost optimization.Key ResponsibilitiesFinancial Planning & ForecastingDesign and enhance financial models, validating and back-testing results.Participate in the annual budgeting process, encompassing revenue, expenses, and capital expenditures.Develop and sustain rolling forecasts reflecting evolving business dynamics.Analyze discrepancies between actual performance, budgets, and forecasts, delivering actionable insights.Financial Reporting & AnalysisGenerate monthly, quarterly, and annual financial statements for management and stakeholders.Conduct profitability assessments by business unit, product line, or geographical region.Identify trends, risks, and opportunities through financial and operational key performance indicators (KPIs).Business Partnering & Decision SupportOffer insights on funding cost optimization and liquidity management.Work closely with department leaders to monitor financial performance against established targets.Deliver ad-hoc financial analyses to support strategic initiatives including pricing strategies, cost optimization, and investment assessments.Evaluate business cases for new projects, investment opportunities, or cost-saving measures.Financial Modeling & Scenario AnalysisConstruct and maintain intricate financial models to evaluate business performance.Conduct scenario and sensitivity analyses to assist in long-term strategic planning.Support mergers and acquisitions due diligence and integration processes, if applicable.Process Improvement & SystemsRefine financial planning workflows through automation and adherence to best practices.Leverage SQL and business intelligence tools such as Power BI and Tableau to enhance reporting efficiency.Ensure accuracy and integrity of data across financial systems.RequirementsWhat We're Looking For:Proven experience in financial planning and analysis, preferably within a banking or financial services environment.Strong proficiency in financial modeling and analytical techniques.Excellent communication and interpersonal skills to facilitate effective collaboration across teams.Ability to thrive in a fast-paced, data-driven environment.
We are seeking dynamic and results-oriented middle and senior management professionals in the fields of Asset Management, Stockbroking, and Financial Advisory. The successful candidates will:Drive continuous growth in Assets Under Management (AUM) and enhance brokerage volumes.Originate and mobilize funds through a variety of liability products and establish strong treasury relationships.Expand and deepen relationships with institutional, corporate, and high-net-worth clients.Enhance market presence across the Group’s diverse operating platforms.