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Job Description
- Ensuring that the company is appropriately and strategically positioned with financial markets, analysts, investors, and all stakeholders.
- Ensuring full compliance with applicable laws, regulations, and regulatory rules in relation to listing and trading of the company’s securities on local and international securities exchanges; specifically in terms of disclosure, transparency, and corporate governance.
- Supervise preparation of the BOD’s quarterly and annual reports.
- Receive and answer inquiries from the stock exchanges on any issues related to the listing and trading of the company’s securities on the exchanges.
- Proactively investigate and report to the CFO and CEO (and the Exchanges, if applicable) on any rumors affecting the trading of the securities on the exchanges.
- Develop and monitor compliance with internal policy for insiders’ trading on the company’s listed securities.
- Ensure compliance with disclosure and transparency requirements of relevant exchanges and regulatory agencies.
- Timely, properly, and technically draft disclosures, press releases, and earning releases; and ensure proper and timely posting on exchanges and to the public investor.
- Timely authentication of minutes of the Board meetings, and AGM and EGM of shareholders with GAFI.
- Proper registration with exchanges, regulatory agency, and central depository and registry of securities.
- Proper and timely filing of application for approval and listing of new issuances of securities; including capital increase, rights issue, stock dividend and stock split, bonds, sukuk, and corporate notes.
- Proper and timely processing of dividends to shareholders.
- Preparation of BOD’s corporate governance report and coordinate its review by the Company’s external auditor(s).
- Proper and timely processing of updating corporate official registration with the Commercial Registry Authority.
- Proper and updated registration with relevant chamber of commerce and chamber of industry (real estate Developers)
Job Requirements
- A Bachelor’s degree in business, finance, economics, or accounting.
- MBA or professional certification in finance and accounting is a plus.
- 15+ years of experience dealing with financial markets.
- Strong understanding of capital market laws, regulations, and securities disclosure requirements, as well as regulatory filing requirements.
- Deep knowledge and understanding of the capital markets, as well as a thorough understanding of key metrics for companies in the industry.
- Ability to perform in a high-pressure environment and meet tight deadlines.
- Excellent written and verbal communication skills.
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