Job Purpose
As the Vice
President, Corporate Finance, you will be responsible for leading key corporate
financial planning processes and other strategic corporate initiatives that foster
strong relationships with investors, stakeholders, and partners. You will conduct
insightful financial analysis that supports decision-making processes and
critical business decisions. You will oversee investors’ communication, ensuring transparency aligns with corporate goals and
critical financial areas that have substantial impact on the organization's
financial success and growth. You will also be
involved in financial reporting, risk management, and advise senior management
on financial strategies and deal-making that optimize the company's performance
and growth. It's a multifaceted role that requires strong analytical skills,
strategic thinking, and a solid understanding of financial principles.
Strategic Planning
- Develop and
execute the company's corporate finance strategy, including financial planning,
capital allocation, performance, and support growth objectives.
- Enhance and refine financial systems and procedures,
aligning them with industry best practices while tailoring them to the
company's distinct requirements, ensuring they remain adaptable and scalable to
accommodate future business growth.
- Design and
formulate sustainable corporate finance strategies that ensure capital
availability and maximization for prosecuting short, medium, and long-term
plans, projects and growth objectives.
- Develop, propose, and implement a mix of viable and
systematic funding strategies across financing platforms that attain maximum
benefit to the company.
- Design business
development activities including the preparation of pitch meetings with
existing and target investors.
- Developing and directing the
company's analytical and financial plans and policies.
- Capital Management
i. Manage capital
allocation across international subsidiaries and projects.
ii. Evaluate investment
opportunities, conduct feasibility studies, and perform ROI analysis.
iii. Optimize capital
structure to minimize financing costs and maximize shareholder value.
iv. Conduct variance
analysis and provide insights into key financial metrics.
- Equity and debt capital raising:
i. Lead financial
modelling work-streams, virtual data room preparation, and transaction-related
corporate filings work streams.
iii. Support
due diligence activities for potential acquisitions as explored by the
business.
iv. Manage post-deal
activities (covenant compliance, etc.)
- Investor relations and stakeholder management:
i. Oversee investors’ relations function, ensuring effective
communication and engagement with Investors, analysts. and financial
institutions.
ii. Respond to
investor-specific reporting and information needs.
iii. Build and maintain
relationships with internal stakeholders, including executives, department
heads, and cross-
iv. Serve as a financial
advisor and provide strategic guidance on international business initiatives.
V. Participate in the execution of transactions across the
client portfolio, preparing client reports and key documentation for
fundraising, acquisitions and disposals.
vi. Communicate financial
insights and recommendations effectively to diverse audiences.
- Coordinate the preparation of pre-meeting board packs.
- Support company secretarial duties in the management
of Sabi’s corporate governance structure, including managing the corporate calendar.
- Prepare comprehensive financial reports and
presentations for senior management and stakeholders.
- Ensure compliance with international financial
regulations and accounting standards.
- Liaise with business intelligence team to develop
and manage robust performance monitoring metrics / dashboards including monthly
financial and non-financial KPIs and cohort analysis.
- Develop and produce business intelligence,
including reporting on non-financial KPIs such impact reports.
- Identify and assess financial risks associated with
international operations, including currency exchange rate fluctuations,
interest rate risks, and geopolitical factors.
- Develop risk mitigation strategies and hedge instruments
to protect against adverse market conditions.
- Analyze financial data from international markets to
assess performance and identify trends.
- Liaise with all other business units to challenge
the status quo, implement new ideas, investigate, and implement more efficient
solutions and processes.
Requirements
- Bachelor's degree in finance, accounting, economics, or
related field; MBA or relevant
professional certifications e.g. CFA preferred.
- Minimum of 10 years of relevant experience, preferably in
one or all the following areas:
- (Transactional) corporate finance or VC/PE
- Top investment banking or strategy consulting firm
with deal making background.
- Financial /
Deals Advisory experience.
- Strong
financial modelling skillset with proficiency in financial modeling and analysis
tools (e.g., Excel, Bloomberg, ERP systems).
- Demonstrated track record in successfully raising capital.
- In-depth knowledge of financial benchmarking, accounting,
audit and tax compliance and other regulatory matters
- Effective communicator, confident leadership with strong
people management skills and a genuine passion to make things happen in a
dynamic organization.
- Superior financial and
business acumen
- Ability to take
initiative with research and analysis and produce valuable results in
conditions of uncertainty.
- Strong understanding
of financial principles, including financial analysis, budgeting, and risk
management.
- Knowledge of
international accounting standards (e.g., IFRS, GAAP) and regulatory
requirements.
- Proven leadership
abilities and experience managing cross-functional teams.
- Strategic mindset
with the ability to think critically and make data-driven decisions.
- Motivated
by the mission of Sabi
- Pragmatic
with quantitative and analytical ability and attention to
detail
- Driven,
independent thinker and leader who can juggle multiple
projects simultaneously with fast-changing
priorities
- High
level of integrity and dependability with a strong sense of
urgency.
- A
focus on execution. Willing and able to get hands
dirty.
- Flexibility
to roll up your sleeves and attack problems and projects as
they arise, where you will need to set out a clear structure,
method and outcomes yourself .
Benefits
- Rapid
Career Growth
- Annual
Training Budget
- Competitive
Pension Plan
- Opportunity
to work in other global office.
- Performance
Bonus
- Paid
Vacation Days
- Fully-funded
Team Bonding Activities
Skills Required
- Bachelor's degree in finance, accounting, economics, or related field; MBA or CFA preferred
- Minimum of 10 years of relevant experience in corporate finance or VC/PE
- Strong financial modeling skillset
- Proficient in financial modeling and analysis tools
- In-depth knowledge of financial benchmarking and regulatory matters
- Effective communicator and confident leader
- Knowledge of international accounting standards
What We Do
Sabi is an African technology company providing infrastructure for the distribution of goods and services, focusing on supply chain management, e-commerce, and financial services. It has pivoted to specialize in traceable commodity exports, including minerals and agricultural products.








