الوصف الوظيفي
Manage all aspects of financial department activities within the company including preparing yearly budget, improving under performing areas, and monitoring and providing the needed financial analysis and accounting support to company functions in compliance to applied policies and procedures according to the applied policies and procedures.
Perform the assigned duties as per the set policies and procedures in order to achieve the department goals.
Prepare and implement the annual department plan to support the overall strategic objectives of the company.
Manage, develop, evaluate and lead the department team to execute the assigned tasks and to achieve the set goals.
Manage and monitor all the company’s branches related financial activities.
Design and monitor budget guidelines to optimize company cash flow.
Facilitate the annual audit activities with auditors by coordinating provision of information required, clarifications required, etc. to ensure that the year-end audit package is accurate.
Liaise with auditors to ensure annual monitoring is carried out on time and facilitate any needed information to complete the financial audits.
Propose financial strategies with emphasis on contractual obligations, financial management and systems; formulate strategic and long-term business plans.
Monitor and manage cash flow of the company and plan payments.
Communicate with key clients, suppliers, financial institutions and resolve any financial issues.
Responsible for the issuance of In-house FS on monthly and yearly financial reports and income statements, balance sheets, cash flow and other related reports to ensure budgetary compliance.
Prepare annual budget and schedule expenditures to ensure matching with the financial objectives.
Establish and implement controls to make sure that company resources are safe and at best financial use, evaluate overall financial results in terms of turnover, profit and share of market volume.
Keep well informed and up to date of changes in financial regulations and legislation.
Verify accuracy and compliance with the established rules and financing principles and ensure that all entries are supported with valid documentation.
Ensure reconciliation is performed monthly, quarterly, and at year-end closing.
Monitor the status of pending critical payments and carry out the required action to reduce delays affecting operations.
Monitor timely payment activities and ensure that all the payments are properly authorized.
Manage fixed assets transactions including additions, retirements, and depreciations and maintain updated fixed assets master record.
Approve and review All Banking transactions including bank facility utilization.
Ensure period-end and year-end closing and prepare periodic financial statements and reports.
Provide and submit yearly budget reports to the direct manager.
Prepare performance and bank exposure reports on a monthly time basis.
المهارات
Minimum Education : Bachelor’s degree in Finance, Accounting or any related field
Minimum Experience : 10-12 years of experience in a related field
Training and Certifications : Any related training
Languages : English, Arabic
تفاصيل الوظيفة
منطقة الوظيفة جدة, المملكة العربية السعودية
قطاع الشركة خدمات الدعم التجاري الأخرى
طبيعة عمل الشركة صاحب عمل (القطاع الخاص)
الدور الوظيفي المحاسبة والتدقيق
نوع التوظيف دوام كامل
الراتب الشهري $6,000 - $7,000
عدد الوظائف الشاغرة 1
المرشح المفضل
المستوى المهني إدارة
عدد سنوات الخبرة الحد الأدنى: 6
منطقة الإقامة جدة,المملكة العربية السعودية
الشهادة بكالوريوس/ دبلوم عالي
https://www.bayt.com/ar/saudi-arabia/jobs/finance-manager-4145992/