Job Details
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Job Description
- Treasury and Banking:
- Direct management of bank relations to ensure sufficient finance and credit lines for the operation.
- Control and Manage the Companies’ Funds to ensure optimum utilization of Companies resources.
- Cash Flow Management:
- Monitor and control Cash Flow Status update & review projections periodically to identify the level of cash needed in order to source the funds required.
- Cash management to secure necessary funds for any investments and manage excess funds.
- Secure finance and credit facilities granted through Vendors & Suppliers in coordination with Procurement & Logistics Department.
- Budgeting:
- Planning, Organizing, Compiling and final presentation of Departmental and Master Budget and Business Plans.
- Prepare and review the Financial Plan of the Companies to define the finance structure and recommend the level of debt in all tenors short medium or long.
- Supervise & review the capital structure of the Companies in order to maintain the optimum debt to equity combination.
- Interim Forecast.
- Risk Management.
- Strategic Planning Support.
- Ensure implementation of polices & procedures & propose revisions allowing for its development.
- Facilitate implementation of Internal Auditing program
- Ensure Budget Control & Monitoring Performance.
- Ensure Cost Control
- Manage Document Control & propose document cycle and the relevant flow diagram
- Reports
- Review and analyze periodical reports submitted by all departments including:
- Financial Reports
- Sales Reports
- Manufacturing Reports
- Review and analyze Financial Statements and report budget deviations
- Report Business performance & analyze the financial results of the Company to support Top Management decision.
- Review and analyze periodical reports submitted by all departments including:
- Review the internal control measures to ensure safekeeping of Companies assets.
- Coordination with tax, legal & Financial Consultants in relative issues.
- Tax planning & overseeing the compliance with laws.
Job Requirements
- Agricultural, Export, Manufacturing industry is A PLUS
- Proven experience as CFO, finance officer or relevant role
- In depth knowledge of corporate financial law and risk management practices
- Excellent knowledge of data analysis and forecasting methods
- Proficient in the use of MS Office and financial management software (e.g. SAP)
- Ability to strategize and solve problems
- Strong leadership and organizational skills
- Excellent communication and people skills
- An analytical mind, comfortable with numbers
- CPA is a strong advantage
- BSc/BA in Accounting, Finance or relevant field; MSc/MBA is a plus
- 40-50 age group
- Willing to relocate to another city