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Job Description
- Oversee all financial operations and direct the line of business’ financial planning and structure
- Coordinate, analyze and report the financial performance to the Top Management and Board of Directors (financial performance, projections and other special projects as required)
- Submits the month/quarter/semi-annual & year closing to CFO and CEO with full set of reports and analysis including financial narratives
- Setting up a control system of billing to subsidiaries and other debtors to stream cash flow from internal and outsider sources
- Advise the management on investment and loans for short and long range financial plans
- Submit business plan for whole company with full set of reports and analysis
- Prepare business evaluation and project appraisal (feasibility study) for new and current investment
- Manage company tax position and external audit to submit the tax return and financial reporting
- Controls financial status with suppliers on monthly basis including rebates, claims and credit notes issues
Job Requirements
- Bachelor degree in Accounting/Finance (English Section)
- Post graduate studies: MBA.
- Previous experience in logistics field.
- Professional user of Microsoft Excel.
- 10 - 15 years of experience in the Finance and Accounting field.
- Solid experience in costing and cost control.
- Excellent knowledge of accounting standards.
- Excellent knowledge of external audit requirements.