للتقدم للوظيفة : رابط الوظيفة من هنا.
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الأدوار والمسؤوليات
Advanced Accounting & General Ledger Management
- Lead full-cycle accounting activities, including journal entries, accruals, prepayments, and reconciliations.
- Ensure accurate maintenance of the general ledger with monthly closing entries.
- Review ledger balances to identify, investigate, and resolve discrepancies.
Financial Reporting & Analysis
- Prepare monthly, quarterly, and annual financial statements in accordance with IFRS and CMA guidelines.
- Develop management reports, KPI dashboards, and cost analysis summaries for leadership decision-making.
- Provide variance analysis with clear insights and recommendations.
Reconciliation & Control Oversight
- Perform complex reconciliations, including multi-entity, multi-currency, and intercompany accounts.
- Oversee reconciliation of all bank accounts, payment gateways, custodial accounts, and settlement accounts related to trading operations.
- Support internal control improvements and ensure financial accuracy across all systems.
Budgeting & Forecasting Support
- Assist in developing annual budgets and rolling forecasts.
- Conduct scenario modeling, revenue analysis, and expenditure tracking.
- Highlight material deviations and propose corrective measures.
Tax, Regulatory & CMA Compliance
- Prepare documentation for tax filings, Zakat, VAT (if applicable), and CMA-required reports.
- Ensure all financial activities comply with Kuwait tax regulations, CMA requirements, and internal compliance policies.
- Maintain audit-ready files for internal and external audits.
Cash Flow & Treasury Activities
- Monitor daily liquidity positions and support treasury operations.
- Prepare weekly and monthly cash flow projections.
- Assist with FX revaluations, settlement processes, and treasury optimization.
Systems & ERP Management
- Manage financial data and workflows in Microsoft Dynamics 365 Business Central (or similar ERP).
- Lead automation initiatives to improve financial reporting accuracy and efficiency.
- Collaborate with IT for system enhancements and data consistency.
Cross-Department Collaboration
- Work closely with Operations, Compliance, HR, and Product teams on financial impact areas (fees, user transactions, settlements, reconciliations).
- Support financial modeling for new products, pricing changes, or investment offerings.
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