Finance Manager MEA
|Employment Type:||Full Time|
SUMMARY OF POSITION:
This position is accountable for the Financial Analysis and planning, accounting operations of the company, to include the production of periodic financial reports, maintenance of an adequate system of accounting records, and a comprehensive set of controls and budgets designed to mitigate risk, enhance the accuracy of the company’s reported financial results, and ensure that reported results comply with generally accepted accounting principles as per IFRS and USGAAP.
Finalizing and analysing complete set of Financial statements including Profit and Loss Statement, Balance Sheet, Cash flow statement and notes to accounts under USGAAP for group reporting purpose and Indian GAAP.
Ensure completeness of revenue recognition (Invoicing and accruals), and provisioning of all relevant expenditure on monthly basis.
Engage with auditors regularly; discuss potential issues on a proactive basis. Participating in the closing meetings and ensure the timely wrap up of audit with no major observation.
Ensuring effective controls as per SOX framework on periodic basis.
Preparing Profitability reports, and balance sheet movement details for corporate review
Finalize Annual business plan for OPEX and CAPEX in consultation w6ith the cross functional and business teams.
Get the financials and various reports reviewed along with leadership team
Internal Control , Risk assessment & Mitigation plan
Periodical review of various controls as per the risk matrix and ensure no leakage in internal control process within the organization specially
Well versed with PCAOB standards and ensure that financial reporting and documentation are maintained as per the said standard.
Work with the Management/leadership team to design , frame, review and implement sound financial and business policies and procedures that facilitate business and adequate financial reporting and also ensuring adequate controls.
Working knowledge on VAT Accounting, reporting and assessments.
Cash flow & Treasury Function
Work with senior management to assess foreign exchange risks, support hedging process for unhedged forex exposure based on periodical forecast of collections.
Drive & monitor accountability of various component of cash flow in the organization and fixed responsibility on periodic basis.
Be a partner to business and help with financial analysis, budgets and monthly P&L
Work with offshore team on accounting and reporting
Education: Chartered Accountants
Experience: 6+ years of experience of working in UAE
Preferred Skills/Qualifications : Must have working knowledge of SAP environment
Other Skills : Good planning and prioritizing skills to manage varied and pressurized work load while focusing on the big picture, Good team Player
Language – Arabic is a must. French would be added advantage.
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