Job Purpose:
To assist in the overall effective financial management and reporting of the company and actively contribute towards the financial planning and strategic growth of the organisation as a key member of the Management Team.
To oversee all day-to-day financial aspects of the company and responsible for the flow of financial information to the CFO, the Board and, where necessary, external parties such as investors or financial institutions.
Duties, Responsibilities and Accountabilities:
· Ultimate responsibility for financial control & reporting on a day-to-day basis
· Meeting group reporting deadlines. Intra group accounting and financial matters
· Review and Report on monthly accounts & variances.
· Cash management on a daily basis.
· Formulation, and ensuring implementation of Credit Control Policy
· Insurances / Risk management.
· Leading and managing the budget process. Preparation and presentation of the annual budgets.
· Budgeting for, reporting & monitoring capital expenditure: plan vs. actual
· To manage and oversee the preparation of all statutory returns, including VAT Returns
· To plan implement and develop the Finance Team operating procedures.
· To ensure the accurate and timely preparation of management accounts, the effective operation and development of management systems for all accounting functions, particularly those relating to purchase ledger, sales ledger, payroll, cash and banking, nominal ledger and stock control
· Liaising with Auditors
· Overall control of the company’s accounting function
· Financial planning and related ongoing advice for the chief executive and senior management
· Formulating financial targets and budgets in accordance with the strategy determined by the board
· Overall control of all financial transactions and accountancy matters, including audit systems
· Corporate finance: managing company policies regarding capital requirements, debt, taxation, equity and acquisitions, as appropriate
· Preparing annual accounts
· Ensuring that the regulatory requirements of all statutory bodies are met regarding all the company’s financial affairs
· Working with the Group Board in formulating strategy and long-term plans
Professional Certifications:
CA, ACCA, FCCA, CPA, CMA, IFRS (any of the listed certification, CA will be added advantage)
Special Technical Skills:
Financial Planning & Analyst, VAT Management, Cash Flow Management, Budgeting & Control, ERP Implementation for Finance.
Job Type: Full-time
Salary: AED10,000.00 per month
Application Question(s):
- Describe your experience in Financial Planning & Analyzing, VAT Management, Cash Flow Management, Budgeting & Control, ERP Implementation - Finance Module?
Experience:
- UAE: 4 years (Required)
License/Certification:
- ACCA or CA or CMA or CPA certification (Required)
Expected Start Date: 04/12/2023
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