Finance Manager - Retail Fuel Industry

Accounting / Auditing / Finance

About the Employer

Job Description

Finance Manager- Retail Fuel Industry

We are seeking a high-caliber, results-oriented Finance Manager to ensure the accurate and up-to-date processing of accounting transactions and financial information, the timely preparation of financial statements and management reports, and adherence to established accounting controls, policies, and procedures.

Key Responsibilities:

  • Complete with accuracy – monthly, quarterly and yearly financial reports within the set deadline.
  • Conduct review of accounts and validity of balances at the time of monthly closing, ensure adequacy of provisions and ensure that all month closing entries are adequately supported with relevant paperwork.
  • Oversee company’s operational and revenue generating inventory
  • Review the reconciliation of Inventory, Supplier and Customer accounts and ensure that adjustment entries, if any are passed with proper approvals.
  • Ensure timely compilation of information required for the JV’s MIS reports, including highlighting any variations to the budget and latest forecasts so that corrective action may be initiated by the management. Analyze the financial performance versus prior year (where applicable).
  • Ensure compliance with latest accounting standards (IFRS), Finance Policy and Procedure Manual. Analyze financial data to detect deficient controls, duplicated effort, fraud, or non-compliance with laws, regulations, and management policies.
  • Monitor key performance indicators (KPIs) for the business, financial metrics, such as free cash flow, working capital, net debt, leverage and turnover metrics, ratios, analyze asset utilization and key costs drivers impacting the EBITDA and Net Profit.
  • Work with the business head to prepare annual budget and forecast projections for the JV.
  • Ensure that all payments are prepared after checking the authenticity and adequacy of supporting documents and approvals. Ensure adherence to DOA, financial limits as per company policy.
  • Monitor the Accounts Receivables and overall cash flow for better fund utilization and working capital management.
  • Liaise with the Commercial teams to prepare costing and feasibility models to analyze business opportunities.
  • Ensure that documentation and files necessary for external and internal audits are maintained in a proper manner and provide necessary information for the timely completion of audits.
  • Where applicable, review the data submitted in compiling tax reports, finalize the returns, in consultation with Company’s Tax Auditors and company’s corporate tax department, handle payment, reporting and/or other tax requirements.

Qualifications & Experience:

  • A Bachelor’s or Master’s Degree in Finance & Accounting, together with full ACA qualification obtained prior to 2020, is mandatory for this position.
  • More than 7 years of experience in accounting, auditing, or finance, with proven work experience. Previous experience in Retail Fuel, Oil & Gas business will be preferred.
  • Hands-on experience with Oracle Hyperion, SAP or similar ERP System.
  • Proficient in Advanced MS Excel and Microsoft Office Suite.
  • The ideal candidate should be between 30 and 45 years of age.

If you are the best fit for this position, send your CV to recruitment@rmparks-lanka.cc including three professional references and clearly stating the position applied for in the subject line. Apply on or before 21st July 2026.

RM Parks Private Limited, Level 36, West Tower, World Trade Centre, Colombo 01