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Finance Manager

Bayt El Khebra
Maadi, Cairo
Posted 3 years ago
404Applicants for1 open position
  • 29Viewed
  • 0In Consideration
  • 0Not Selected
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Job Details

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Job Description

Reporting to CFO, the role is a mix of providing commercial insight to the investment team on the investment performance of the portfolio (in terms of valuation) and delivering robust processes and controls to ensure the completeness and accuracy of all aspects of the periodic investment portfolio valuation reports and managing all financial and accounting treatments related to the company. Key responsibilities encompass the following: -

  • Portfolio Reporting: Own the monthly portfolio reporting dashboards for all investments, ensuring accuracy of data and adherence to financial controls.
  • Decision Support: Support sound commercial making through provision of relevant portfolio reporting to the investment team and developing an in depth understanding of the portfolio and any performance issues.
  • Valuation Reporting: Delivery and presentation of periodically overall regional valuation performance, presented to Valuation Committee, Auditors and Investors.
  • Portfolio Finance Review: Lead the review of the estimated investment outcomes across each portfolio company, gaining a full understanding of the mechanics of the report and own all investor queries in relation to forecast cashflows.
  • Commercial understanding: Build a strong understanding of the investment portfolio through Ownership and knowledge of monthly dashboards, Monthly portfolio review discussions, periodically valuation discussions, Liaising with Core Finance on the structure of deals, Reviewing Investment Committee documents.
  • Annual Audit: Working alongside the external auditor to support a smooth and problem free audit process, delivered within deadline.
  • Finance: Oversee operations of the finance department, set goals and objectives, and design a framework for these to be met.
  • Treasury: Manage Banking facilities and build up strong relationships with the bank representatives.
  • Others:  ad-hoc reports assigned by the senior management.

Job Requirements

  • Bachelor's degree in Accounting, Finance, or any similar studies (English section is A great plus).
  • CPA / ACCA / CMA qualified is A great advantage.
  • From 12 till 16 Years’ experience in finance sector specialized in portfolio management and securities trading is A must.
  • Able to quickly understand the methodology and models for valuation of portfolio investments;
  • An individual who combines excellent communication and presentational skills with the ability to quickly build productive relationships.
  • Strong understanding of investment strategies and risk management
  • High interest in and enthusiastic about economic and financial market trends

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