صاحب العمل نشط
حالة تأهب وظيفة
سيتم تحديثك بأحدث تنبيهات الوظائف عبر البريد الإلكترونيحالة تأهب وظيفة
سيتم تحديثك بأحدث تنبيهات الوظائف عبر البريد الإلكترونيDrive the financial planning of the company by regularly analyzing its performance and risks with appropriately defined KPIs
Retain constant awareness of the company's financial position and act to prevent problems (defaulting clients / bad debt)
Allocate resources and manage cash flows, and ensure it has the appropriate treasury controls
Prepare timely and detailed reports on financial performance and results on a quarterly and annual basis to be presented to the Board
Develop budgets that meet the requirements of company departments
Prepare monthly / quarterly / annual forecasts (P&L, BS and CF)
Conduct profit and cost analyses for existing and new projects to be implemented
Evaluate and decide on investments
Supervise the financial and accounting team
Oversee the annual audit with the group's external auditors and ensure all accounting activities and internal audits comply with financial regulations
Conduct risk management, develop secure processes and procedures to maintain information collected and stored accurately and confidentially
Manage the tax and legal matters of the company
Oversee the financial IT systems
Develop the corporate funding strategy and manage relationships with partners, banks, and investors to optimize financing of the company's operations and capex
Prepare board meetings and investment decks
Provide the CEO with financial insights to make business decisions and support him in developing the long-term strategy with an operating and business plan
Nurture existing banking relationships, manage the company's borrowing arrangements (covenants, interest rate, hedging arrangements, etc.
and build new banking partnerships
دوام كامل