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Job Description
- In charge of the development for the continuous evaluation of short and long-term strategic financial objectives.
- Perform risk management by analyzing the organization’s liabilities and investments.
- Decide on investment strategies by considering cash and liquidity risks.
- Monitor and direct the implementation of strategic business plans related to financial departments in our group of companies.
- Control and evaluate our group of companies’ fundraising plans and capital structure.
- Ensure cash flow is appropriate for our group of companies’
- Supervise all financial personnel (controllers, treasurers etc.)
- Prepare reliable current and forecasting reports.
- Ensure compliance with the law and our group of companies’ policies.
- Manage the capital request and budgeting processes.
- Participate in key decisions as a member of the executive management team.
- Manage the accounting, legal, tax, and treasury function for all our group of companies.
- Oversee the company's transaction processing systems.
- Review and approve all Reports & financial results to the board and to present the tax returns.
- Monitor all open legal issues involving our group of companies, and legal issues affecting us in the Market.
- Ensure that our group of companies comply with all legal and regulatory requirements
- Ensure that record keeping meets the requirements of External Auditors and governmental agencies.
- Maintain relations with External Auditors and investigate their findings and recommendations.
- Maintain banking relationships and represent our group of companies with bankers.
- Ensure credibility of Finance group by providing timely and accurate analysis of budgets, financial trends and forecasts.
- Develop financial and tax strategies.
- Evaluate and advise on the impact of long-range planning, introduction of new programs/ strategies and regulatory action.
- Establish and maintain strong relationships with our group of companies’ senior executives to identify their needs and seek full range of business solutions.
- Provide executive management with advice on the financial implications of business activities.
- Manage processes for financial forecasting, budgets and consolidation.
- Provide recommendations to strategically enhance financial performance and business opportunities.
- Ensure that effective internal controls are in place and ensures compliance with all accounting principles and applicable, local regulatory laws and rules for financial and tax reporting.
- Ensure full transparency over the financial performance of our group of companies.
- Provide approaches on how to increase revenue and reduce costs.
Job Requirements
- BSc/BA Degree in Accounting/ Finance.
- M.Sc. degree in Finance is a plus.
- Preference will be given to candidates with MBA in Finance major/ the Certified Public Accountant (CPA)/Certified Management Accountant (CMA) designations.
- 10+ years of experience in a senior financial managerial position in reputable construction companies, or any related industry companies.
- 3+ years of Proven experience as CFO, Financial Officer or relevant role.
- In depth knowledge of corporate financial law and risk management practices.
- Excellent knowledge of data analysis and forecasting methods.
- Proficient user of MS Office and financial reporting/ management software.
- CPA is a strong advantage.
- Good user of AXIOM Software will be desirable.