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الوصف الوظيفي Ensure that effective accounting policies and procedures are in place and implemented to meet requirements of the Company. Analyzes, consolidates, and directs all cost accounting procedures together with other statistical and routine reports. Manage the financing needs and strategies on optimum financing plans. المهارات Organize, plan and control all financial functions including cash management, payable, and revenue, recording and reporting. Continuous co-ordination with the departments to impose responsibility over fixed assets. Provide timely financial information to Management to allow the operating performance of the Company to be assessed against planned objectives. Appraises the organization’s financial position and issues periodic reports on organization’s financial stability, liquidity, and growth. Ensure accurate preparation of monthly, quarterly and annual reports to meet the reporting requirements of the Company and external entities. Develop and maintain accurate and effective costing systems to ensure costs are allocated properly and management has reliable planning information. Manage the preparation of budgets, forecasts, funds flow and working capital requirements to develop consolidated plans that meet business requirements. Develop effective banking relationships to ensure Company funds are properly managed and cash requirements are met. Ensure that insurance cover is regularly reviewed and maintained to provide adequate cover to meet all Company Risk Management requirements. Conduct financial feasibility studies to assess potential new projects and when necessary contribute to the preparation of subsequent partnership / alliances agreements. Manage the preparation of the annual Financial Statements per applicable accounting standards. Manage the development, planning and timely delivery of all General Services to the company and employees. Manage and implement the company Payroll and Compensation & Benefits for all employees. Liaise with the external auditors, suppliers, customers and government agencies for any matters related to ARTIC accounts. Liaise with the Banks for matters related to investment and funding. Coordinate/liaise with other divisions/departments and participate in periodic meetings to ensure smooth flow of the business, safety, security and professional operations. تفاصيل الوظيفة https://www.bayt.com/ar/saudi-arabia/jobs/financial-analyst-3887055/ |
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