للتقدم للوظيفة : رابط الوظيفة من هنا.
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الوصف الوظيفي
Corporate
- Evaluate & develop long-range plans, goals and objectives
- Develop/direct specific strategies for set objectives
- Research, analyse & interpret financial transactions & data, legislative information and economic and market conditions
- Maintain the fiscal integrity of company’s financial resources
- Analyse changes in assessed valuation & earnings on investments to project cash flow
- Confer with bankers, consultants etc. on debt programs, funding policies etc.
- Direct the preparation of reports required by regulatory authorities for overseas projects
- Attend divisional meetings to provide direction and advice in resolving financial issues
- Evaluate financial reporting systems, accounting and collecting procedures & investment activities
- Plan & direct risk and insurance programs to minimize risks and losses
- Direct insurance negotiations
- Monitor company’s issuance of credit, establish credit-rating criteria, determine credit ceilings etc.
- Improve operations, decrease turnaround times, and streamline work processes & quality customer service
- Represent CFO at meetings in his absence
Projects
- Maintain oversight of the project’s overall financial performance and cash flow control
- Direct the preparation of accurate financial reports in a timely manner as required by management and other regulatory authorities
- Manage cost control process including closely monitoring all costs incurred against work budget, analyse variances and identify areas for improvement
- Provides projects-based financial analysis, offers fiscal advice and guidance to support the project team in making the best decisions for the project
- Support the project operations in risk management process through identification, assessment, mitigation and development of contingency plans
- Actively collaborate with Project Managers to ensure that project financial objectives are met
- Ensure compliance with tax laws and other regulatory requirements
- Manage the implementation of new financial processes, policies and procedures in order to meet organization’s financial and business strategies
- Build relations with internal and external stakeholders through effective, proactive and regular communication
- Manage the quarterly and annual audits including the year-end procedures in conjunction with statutory requirement to ensure account complies with the regulatory framework
- Responsible for managing the team dynamics, motivation, professional and career development roadmap
Responsibilities:
- Proven leadership & interpersonal skills
- Adept in strategic scheduling and managing timelines
- Highly motivated, self-directed individual
- Good analytical & problem solving skills
- Excellent negotiating & influencing skills
- Proficiency in computer applications and software
- Excellent communication (oral and written) and people management skills
- Ability to collaborate with both internal team members and external stakeholders
- Proven experience in financial project management
HSE Behavioural Skills
- Adhere to HSE Policy
- Follow the HSE Management System procedures and safe working instructions
Qualifications:
- Bachelor’s degree in finance, Accountancy, Accounting or equivalent
- CPA / MBA in Accounting is an advantage
- Minimum 12 years' experience in Accounting & Finance in related industries
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