Nairobi, Kenya

Finance Manager

 Job Description:

Job Title: Finance Manager – Law Firm

Reports To: Managing Partner

Location: Nairobi

Gross Salary: KES. 110,000 - 150,000

Client & Role Description;

Our client, a leading and well-established law firm based in Nairobi, is seeking to recruit a highly analytical, commercially driven, and strategic Finance Manager to lead and strengthen its finance function.

The successful candidate will play a critical role in driving financial sustainability, strengthening cashflow management, enhancing revenue assurance, ensuring compliance, and supporting strategic decision-making across the firm.

Key Responsibilities:

Financial Strategy & Commercial Management

  • Lead financial planning aligned to the firm's strategic and operational objectives.
  • Develop annual budgets, forecasts, and financial models.
  • Provide financial insights to support leadership decision-making and profitability.
  • Review cost structures and recommend efficiency and cost optimization initiatives.
  • Support investment planning and resource allocation.

Treasury & Cashflow Management

  • Oversee liquidity management and daily cash positioning.
  • Prepare and manage weekly and monthly cashflow forecasts.
  • Ensure timely funding for payroll, statutory obligations, suppliers, and operational commitments.
  • Strengthen treasury controls and working capital management.
  • Manage banking relationships and monitor financial risk exposure.

Revenue Assurance & Billing Oversight

  • Oversee the full revenue cycle from estimate to collection.
  • Strengthen billing governance and reduce invoicing delays.
  • Monitor accounts receivable performance and aged debt exposure.
  • Develop debt recovery and collection strategies.
  • Work closely with Partners, Practice Heads, and fee earners to improve collections efficiency and reduce revenue leakage.

Financial Reporting & Analysis

  • Prepare accurate and timely management accounts and financial reports.
  • Develop dashboards and reporting scorecards for leadership visibility.
  • Analyze profitability, revenue trends, budget performance, and cost movements.
  • Ensure financial reconciliations and reporting accuracy.

Budgeting & Cost Control

  • Lead the budgeting and budget consolidation process.
  • Conduct variance analysis and strengthen departmental accountability.
  • Improve spend governance and expense control across the firm.
  • Identify opportunities for operational and financial efficiency.

Internal Controls, Compliance & Audit

  • Strengthen internal financial controls and governance frameworks.
  • Ensure compliance with statutory, tax, and regulatory requirements.
  • Coordinate internal and external audit processes.
  • Minimize exposure to fraud, financial leakage, and unauthorized transactions.
  • Maintain strong financial documentation and SOP compliance.

Leadership & Team Management

  • Supervise and mentor the finance team.
  • Set KPIs and strengthen accountability within the department.
  • Promote a culture of financial discipline, transparency, and proactive reporting.

Qualifications & Experience

  • Bachelor's Degree in Finance, Accounting, Economics, or a related field.
  • CPA(K), ACCA, or equivalent professional accounting qualification.
  • Minimum 5–8 years progressive finance experience.
  • At least 3 years in a finance leadership or management role.
  • Strong experience in:
    • Financial planning & analysis
    • Treasury management
    • Budgeting & forecasting
    • Audit & compliance
    • Commercial finance
    • Cashflow management
    • Financial reporting
    • Accounts receivable oversight
  • Experience within a law firm, legal practice, consulting, or professional services environment is highly preferred.

Key Competencies

  • Strong commercial and strategic thinking skills.
  • Excellent leadership and stakeholder management abilities.
  • High integrity, professionalism, and attention to detail.
  • Strong analytical and problem-solving skills.
  • Excellent communication, negotiation, and presentation skills.
  • Ability to manage competing priorities in a fast-paced professional environment.

How to Apply;

Interested candidates are encouraged to submit their applications via the company's career page.

Application Deadline: Friday 29th May, 2026

Note: Only shortlisted candidates will be contacted. For any inquiries regarding the role please reach out to us via 0784 155 512

  Required Skills:

Support Capital Accounts Receivable Funding Variance Analysis Driving Treasury Consolidation Oversight Strategic Thinking Transparency Structures Regulatory Requirements Assurance Sustainability Financial Planning Analysis Cost Control Compliance Salary Internal Controls Presentation Skills Accountability Consulting Invoicing Tax Stakeholder Management Decision-Making Financial Reporting Optimization Attention To Detail Banking Cash Forecasting Economics Team Management Strategy Payroll Budgeting Suppliers Negotiation Accounting Finance Documentation Planning Leadership Communication Management