Oversee all company accounts pertaining to Funds management, Cash flow, Financial Analysis, Forecasting, Financial Risk Assessment, Vendors Management and Management Accounting
Create monthly and annual reports to identify results, trends, and financial forecasts
Manage cash flow by tracking transactions and regularly reviewing internal reports
Supervise and manage financial department staff, including accountants and financial assistants
Ensure that all financial transactions are properly recorded, filed, and reported
Review all financial plans and budgets regularly to check for discrepancies
Create systems to prevent errors in data collection and calculations
Preparing financial reports and analyzing financial data.
Overseeing and preparing income statements.
Managing financial transactions and streamlining accounting functions and operations.
Developing plans for financial growth while evaluating and managing risk.
Collaborate with auditing services to ensure proper compliance with all regulations.
Skills and Qualifications:
C.A. /CPA preferably with CMA with minimum 5 - 7 years’ experience in similar position
Should have hands on experience in Funds management, Cash flow, Financial Analysis, Forecasting, Financial Risk Assessment, Vendors Management, Management Accounting and reporting. Must be result oriented with proficiency in Oracle based ERP/
Should have experience working with GROUP OF COMPANIES (Exposure in RETAIL).
Location: Dubai United Arab Emirates
Posted On: 3 weeks ago
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