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CFO

10th of Ramadan City, Sharqia
Posted 2 months ago
165Applicants for1 open position
  • 121Viewed
  • 31In Consideration
  • 90Not Selected
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Job Details

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Job Description

  1. Manage, oversee, process (as appropriate), and act as backup for processing all of the following transactions: payroll, accounts payable, revenue and expense, fixed assets, cash, bank reconciliations, and allocations.
  2. Maintain control of the following areas: general ledger, accounts payable, Account Receivable, inventory, expense reports, billing, treasury, banking and payroll.
  3. Develop, implement, and maintain processes and controls that are current best practices related to transaction processing and budgeting
  4. Analyze costs, pricing, variable contributions, sales results and the company’s actual performance compared to the business plans.
  5. Develop financial reports and interpret financial information to managerial staff while recommending further courses of action.
  6. Undertake strategic analysis and assist with strategic planning, by advising on investment activities and providing long-term business plans.
  7. Conduct reviews and evaluations for cost-reduction opportunities, and carry out business modelling and risk assessments
  8. Track the company's financial status and performance to identify areas for potential improvement, and seek out methods for minimizing financial risk to the company.
  9. Develop all reports needed for the preparation of the company’s budget.
  10. Provide useful financial insights to help make better decisions about formulating and executing strategy, and provide guidance and analysis to executive and operational management to improve results.
  11. Prepare and analyze monthly financial and management reports, including income statement, balance sheet, budget and variance, projections and forecast, and cash flow.
  12. Prepare and assist with developing audit schedules for the annual audit, and liaise with auditors to ensure annual external audits are carried out.
  13. Ensure compliance with accounting policies and regulatory requirements; financial regulations and legislation.

Provide innovative tax planning, identify and mitigate tax risks, and manage tax provision and tax compliance process.

Job Requirements

  1. Bachelor degree in Accounting
  2. Post Graduate studies is a plus
  1. 10 – 12 Years of experience in a relevant field
  2. At least 3 years in the same position
  1. Proficiency in Microsoft Office (Excel, Outlook, Word, and PowerPoint).
  2. Microsoft 365 Preferable
  1. Excellent Command of Arabic & English language skills.

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