Job Description
**WHAT'S THE ROLE**
Flow Jamaica is seeking an experienced and commercially savvy **Senior Manager, Capex & Liquidity** to lead the analysis, planning, and governance of **Capital Expenditure (Capex)** , while also managing strategic **tax planning and compliance** and overseeing the company’s **liquidity and working capital position** .
This role will be instrumental in ensuring that Capex investments—particularly in network infrastructure and technology—are fully aligned with strategic goals, generate optimal returns, and are executed with financial discipline. The ideal candidate will combine strong financial modelling and investment appraisal skills with a deep understanding of Jamaican tax legislation and best practices in liquidity management within a capital-intensive, regulated industry.
**WHAT YOU'LL DO**
1. **Capital Expenditure (Capex) Strategy & Analysis**
+ Serve as the **finance lead for all Capex planning and analysis** , supporting investment decisions in critical areas such as network expansion, fibre rollouts, IT infrastructure, and customer equipment.
+ Develop and maintain robust financial models to assess **ROI, IRR, NPV, and payback periods** for Capex initiatives.
+ Collaborate cross-functionally with engineering, operations, and procurement teams to ensure business cases are comprehensive, realistic, and aligned with corporate priorities.
+ Drive the **annual Capex budgeting process** , track actual performance against budgets, and conduct variance and scenario analysis.
+ Oversee **post-investment reviews** to evaluate outcomes, identify lessons learned, and improve future investment decision-making.
+ Enforce Capex governance frameworks and approval protocols to maintain financial discipline and compliance with internal policies.
1. **Tax Strategy, Compliance & Governance**
+ Identify and implement **tax planning opportunities** to optimize Flow Jamaica’s tax position, improve net profit, and support business initiatives.
+ Maintain strong relationships with **Tax Administration Jamaica (TAJ)** and other regulatory bodies to proactively manage tax issues, obtain rulings, and negotiate favorable outcomes for the company.
+ Ensure accurate and timely **tax compliance** , including preparation and review of tax filings, tax provision calculations, reconciliations, and audit-ready documentation.
+ Manage tax audits and information requests, mitigating risks and protecting the company’s reputation and financial standing.
1. **Liquidity Management & Working Capital Optimization**
+ Lead the development of **short- and long-term cash flow forecasts** to ensure sufficient liquidity for both operational and strategic needs, including major Capex deployments.
+ Monitor and analyze the company’s daily and monthly liquidity position; recommend strategies for cash optimization.
+ Work closely with Treasury and AP/Collections teams to manage **working capital** , improving efficiency in receivables, payables, and inventory.
+ Ensure accurate and timely reporting of liquidity metrics to senior leadership.
1. **Leadership & Continuous Improvement**
+ Inspire and develop team members involved in Capex, tax, and liquidity analysis; foster a high-performance finance culture.
+ Translate complex financial and regulatory issues into actionable guidance for non-finance stakeholders.
+ Drive continuous improvement in financial processes, controls, and systems to increase automation, accuracy, and efficiency.
+ Champion best practices in financial governance, investment appraisal, and compliance across the business.
**WHAT YOU'LL NEED**
Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
Master’s degree or professional certifications (CIMA, ACCA, CPA) strongly preferred.
Minimum of 7 - 10 years of experience in a related field
**WHAT YOU'LL NEED**
Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
Master’s degree or professional certifications (CIMA, ACCA, CPA) strongly preferred.
Minimum of 7 - 10 years of experience in a related field
**WHAT YOU'LL DO**
1. **Capital Expenditure (Capex) Strategy & Analysis**
+ Serve as the **finance lead for all Capex planning and analysis** , supporting investment decisions in critical areas such as network expansion, fibre rollouts, IT infrastructure, and customer equipment.
+ Develop and maintain robust financial models to assess **ROI, IRR, NPV, and payback periods** for Capex initiatives.
+ Collaborate cross-functionally with engineering, operations, and procurement teams to ensure business cases are comprehensive, realistic, and aligned with corporate priorities.
+ Drive the **annual Capex budgeting process** , track actual performance against budgets, and conduct variance and scenario analysis.
+ Oversee **post-investment reviews** to evaluate outcomes, identify lessons learned, and improve future investment decision-making.
+ Enforce Capex governance frameworks and approval protocols to maintain financial discipline and compliance with internal policies.
1. **Tax Strategy, Compliance & Governance**
+ Identify and implement **tax planning opportunities** to optimize Flow Jamaica’s tax position, improve net profit, and support business initiatives.
+ Maintain strong relationships with **Tax Administration Jamaica (TAJ)** and other regulatory bodies to proactively manage tax issues, obtain rulings, and negotiate favorable outcomes for the company.
+ Ensure accurate and timely **tax compliance** , including preparation and review of tax filings, tax provision calculations, reconciliations, and audit-ready documentation.
+ Manage tax audits and information requests, mitigating risks and protecting the company’s reputation and financial standing.
1. **Liquidity Management & Working Capital Optimization**
+ Lead the development of **short- and long-term cash flow forecasts** to ensure sufficient liquidity for both operational and strategic needs, including major Capex deployments.
+ Monitor and analyze the company’s daily and monthly liquidity position; recommend strategies for cash optimization.
+ Work closely with Treasury and AP/Collections teams to manage **working capital** , improving efficiency in receivables, payables, and inventory.
+ Ensure accurate and timely reporting of liquidity metrics to senior leadership.
1. **Leadership & Continuous Improvement**
+ Inspire and develop team members involved in Capex, tax, and liquidity analysis; foster a high-performance finance culture.
+ Translate complex financial and regulatory issues into actionable guidance for non-finance stakeholders.
+ Drive continuous improvement in financial processes, controls, and systems to increase automation, accuracy, and efficiency.
+ Champion best practices in financial governance, investment appraisal, and compliance across the business.
Flow Jamaica is seeking an experienced and commercially savvy **Senior Manager, Capex & Liquidity** to lead the analysis, planning, and governance of **Capital Expenditure (Capex)** , while also managing strategic **tax planning and compliance** and overseeing the company’s **liquidity and working capital position** .
This role will be instrumental in ensuring that Capex investments—particularly in network infrastructure and technology—are fully aligned with strategic goals, generate optimal returns, and are executed with financial discipline. The ideal candidate will combine strong financial modelling and investment appraisal skills with a deep understanding of Jamaican tax legislation and best practices in liquidity management within a capital-intensive, regulated industry.
**WHAT YOU'LL DO**
1. **Capital Expenditure (Capex) Strategy & Analysis**
+ Serve as the **finance lead for all Capex planning and analysis** , supporting investment decisions in critical areas such as network expansion, fibre rollouts, IT infrastructure, and customer equipment.
+ Develop and maintain robust financial models to assess **ROI, IRR, NPV, and payback periods** for Capex initiatives.
+ Collaborate cross-functionally with engineering, operations, and procurement teams to ensure business cases are comprehensive, realistic, and aligned with corporate priorities.
+ Drive the **annual Capex budgeting process** , track actual performance against budgets, and conduct variance and scenario analysis.
+ Oversee **post-investment reviews** to evaluate outcomes, identify lessons learned, and improve future investment decision-making.
+ Enforce Capex governance frameworks and approval protocols to maintain financial discipline and compliance with internal policies.
1. **Tax Strategy, Compliance & Governance**
+ Identify and implement **tax planning opportunities** to optimize Flow Jamaica’s tax position, improve net profit, and support business initiatives.
+ Maintain strong relationships with **Tax Administration Jamaica (TAJ)** and other regulatory bodies to proactively manage tax issues, obtain rulings, and negotiate favorable outcomes for the company.
+ Ensure accurate and timely **tax compliance** , including preparation and review of tax filings, tax provision calculations, reconciliations, and audit-ready documentation.
+ Manage tax audits and information requests, mitigating risks and protecting the company’s reputation and financial standing.
1. **Liquidity Management & Working Capital Optimization**
+ Lead the development of **short- and long-term cash flow forecasts** to ensure sufficient liquidity for both operational and strategic needs, including major Capex deployments.
+ Monitor and analyze the company’s daily and monthly liquidity position; recommend strategies for cash optimization.
+ Work closely with Treasury and AP/Collections teams to manage **working capital** , improving efficiency in receivables, payables, and inventory.
+ Ensure accurate and timely reporting of liquidity metrics to senior leadership.
1. **Leadership & Continuous Improvement**
+ Inspire and develop team members involved in Capex, tax, and liquidity analysis; foster a high-performance finance culture.
+ Translate complex financial and regulatory issues into actionable guidance for non-finance stakeholders.
+ Drive continuous improvement in financial processes, controls, and systems to increase automation, accuracy, and efficiency.
+ Champion best practices in financial governance, investment appraisal, and compliance across the business.
**WHAT YOU'LL NEED**
Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
Master’s degree or professional certifications (CIMA, ACCA, CPA) strongly preferred.
Minimum of 7 - 10 years of experience in a related field
**WHAT YOU'LL NEED**
Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
Master’s degree or professional certifications (CIMA, ACCA, CPA) strongly preferred.
Minimum of 7 - 10 years of experience in a related field
**WHAT YOU'LL DO**
1. **Capital Expenditure (Capex) Strategy & Analysis**
+ Serve as the **finance lead for all Capex planning and analysis** , supporting investment decisions in critical areas such as network expansion, fibre rollouts, IT infrastructure, and customer equipment.
+ Develop and maintain robust financial models to assess **ROI, IRR, NPV, and payback periods** for Capex initiatives.
+ Collaborate cross-functionally with engineering, operations, and procurement teams to ensure business cases are comprehensive, realistic, and aligned with corporate priorities.
+ Drive the **annual Capex budgeting process** , track actual performance against budgets, and conduct variance and scenario analysis.
+ Oversee **post-investment reviews** to evaluate outcomes, identify lessons learned, and improve future investment decision-making.
+ Enforce Capex governance frameworks and approval protocols to maintain financial discipline and compliance with internal policies.
1. **Tax Strategy, Compliance & Governance**
+ Identify and implement **tax planning opportunities** to optimize Flow Jamaica’s tax position, improve net profit, and support business initiatives.
+ Maintain strong relationships with **Tax Administration Jamaica (TAJ)** and other regulatory bodies to proactively manage tax issues, obtain rulings, and negotiate favorable outcomes for the company.
+ Ensure accurate and timely **tax compliance** , including preparation and review of tax filings, tax provision calculations, reconciliations, and audit-ready documentation.
+ Manage tax audits and information requests, mitigating risks and protecting the company’s reputation and financial standing.
1. **Liquidity Management & Working Capital Optimization**
+ Lead the development of **short- and long-term cash flow forecasts** to ensure sufficient liquidity for both operational and strategic needs, including major Capex deployments.
+ Monitor and analyze the company’s daily and monthly liquidity position; recommend strategies for cash optimization.
+ Work closely with Treasury and AP/Collections teams to manage **working capital** , improving efficiency in receivables, payables, and inventory.
+ Ensure accurate and timely reporting of liquidity metrics to senior leadership.
1. **Leadership & Continuous Improvement**
+ Inspire and develop team members involved in Capex, tax, and liquidity analysis; foster a high-performance finance culture.
+ Translate complex financial and regulatory issues into actionable guidance for non-finance stakeholders.
+ Drive continuous improvement in financial processes, controls, and systems to increase automation, accuracy, and efficiency.
+ Champion best practices in financial governance, investment appraisal, and compliance across the business.
Apply for this Position
Ready to join ? Click the button below to submit your application.
Submit Application