للتقدم للوظيفة : رابط الوظيفة من هنا.
_______________________________________
Internal Communication:
VP - Corporate Finance & Treasury,
Manager – Corporate Finance & Treasury, Manager – Corporate Finance, Manager - Treasury, Business unit
Purpose:
To provide support in capital budgeting, tender & business case preparation, assistance in risk analysis, discuss and provide support on financing needs and options.
External Communication:
External Consultants / Service Providers (consultants, lawyers, bankers.)
Purpose:
Working with third party advisors for market research, M&A activities, feasibility studies etc. From writing RFP, assessment o advisors, proviiding information and appointment of advisors.
Occupational Health & Safety and Environment:
Accountability:
•Are accountable for their acts and omissions.
Responsibility:
•To follow agreed safe systems of work; to follow training and instructions; and to report accidents, incidents and near misses.
Authority: •To stop work if they think the work is unsafe.
Responsibilities:
Capital budgeting
Design and build financial models for new and existing capital projects - coordinate with different business units, understand their business / operational requirements, agree on key assumptions / inputs and develop comprehensive flexible financial models
Active involvement in tendering process - review the tender documents, highlight the financial terms, coordinate with business units, agree on assumptions and develop financial models
Develop and review business cases for new projects / changes in existing projects through various parameters such as IRR, NPV, profitability
Cashflow management & Treasury
Maintain, update and develop Cash Flow Forecasting Model for different business units with the purpose of Cash Management, Treasury and Risk management.
Maintain, update and develop tools and reports to provide critical Balance Sheet, P&L and liquidity information to various stakeholders
Support in debt management including reporting on existing loans, conducting sensitivites to ensure no breach of covenants, analyzing and recommending hedging strategies.
Market research
Perform desktop and third party research on different sectors (macro view, key trends, pros & cons, outlook etc.)
Assist management in forming a view on state of different sectors and to compare with performance of internal Business Units
Compile presentations, with analysis and actionable recommendations, for management
Support M&A from finance perspective
Perform valuations of companies using different methodologies such as income approach, market comparable approach and net assets value approach
Conduct detailed analysis of historical and forecast financial information (through management reports, financial reports, desktop research)
Due diligence
Conduct initial screening of companies and markets through high level desktop research
Perform analysis of historical and forecast financial information to identify key attributes and issues / risks in a transaction / company
Management reporting
Compile presentations / report to provide financial insights / information management and make actionable recommendations on both strategy and operations (especially related to Corporate Finance, investments, etc.)
Develop and maintain effective relationships with BUs and external consultants
Ensure operations/work processes occur in accordance with all relevant legal, regulatory, and any other standards and requirements to which compliance is required
Ensure the health and safety of all employees and the protection of the environment for all sites/work premises under their control.
Others
Perform other job-related duties as assigned
Follow specified systems, processes and procedures, implemented in the workplace, to ensure compliance with legal, regulatory, and other requirements/standards
Work safely at all times, protecting the health and safety of everyone in the workplace
Perform other ad-hoc projects
Qualifications:
Education & Professional Qualification:
- Bachelor Degree required; Preferably in Finance, Accounting and/or Business (essential)
Professional Experience:
- Minimum 3 - 4 years of experience out of which 2 years of work experience to be in asset management, corporate finance, transaction advisory, equity research or investment banking. (essential)
Geographic Experience: N/A
Computer Skills:
Advanced MS Excel including experience modelling transactions, Word, Power Point, Familiarity with applications used for business and industry research (e.g. Zawya, Capital IQ, Bloomberg, etc.) (essential)
Language Skills:
Arabic & English (essential)
Market / Industry / Functional Knowledge:
N/A