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Job Description
- Prepare operational or risk reports for management analysis
- Evaluate data pertaining to costs to plan budgets.
- Oversee the flow of cash or financial instruments.
- Prepare financial or regulatory reports required by laws, regulations, or boards of directors.
- Develop or analyze information to assess the current or future financial status of firms.
- Evaluate financial reporting systems, accounting or collection procedures, or investment activities and make recommendations for changes to procedures, operating systems, budgets, or other financial control functions.
- Analyze and classify risks and investments to determine their potential impacts on companies.
- Review collection reports to determine the status of collections and the amounts of outstanding balances.
- Control all of contractor’s invoices, labors payable cost schedule
- Follow up the collection of the A/R balances
- Review the vendors' payment cheques
- Review the monthly P&L results with the department managers
- Handle the matters related to tax authorities either dues settlement or tax audit.
- Supervising all operations and activities that the Finance Department.
- Report financial results to management, the board of directors
Job Requirements
- Bachelor’s degree in Economics or Finance or in a related field.
- Associate’s degree is a plus
- Master’s degree is a plus
- Minimum 5 years of relevant experience
- Attention to Detail
- Analytical Thinking
- Integrity
- Initiative
- Accountability
- Drive for Excellence