Finance Manager
- Recruiter
- Future Careers Middle East Freezone LLC
- Location
- Riyadh, Saudi Arabia
- Salary
- Competitive
- Posted
- 21 Feb 2019
- Closes
- 21 Feb 2019
- Ref
- 3891586
- Job role
- Finance manager
- Sector
- Property and construction
- Experience level
- Manager
We are seeking a Finance Manager for a property developer.
Based in Riyadh and reporting to the Director of Finance. You will handle the day-to-day financial activities related to financial planning, cash management, treasury management reporting & analysis functions.
• Manage day-to-day financial activities related to financial planning, cash management, treasury management reporting & analysis functions.
• Preparation of overall organizational budgets and ensure the effectiveness of the financial control by continuously monitoring the business spending against the budgets.
• Develop quarterly sales for the quarterly performance evaluation of the Operations.
• Prepare Company Financial Plans.
• Introduce new methodologies and techniques for use in financial planning, budgeting, and cash forecasting activities.
• Participate in the development of financial policies, processes, and procedures.
• Recommend any necessary procedures to enhance the internal control environment
• Conduct financial and costing analysis (KPI’s, trends, capital expenditures analysis, variances reporting in terms of actual versus targets reports, deviation reports, etc).
• Analyse the organization’s revenues, liabilities, credit condition and other financial indicators to forecast its short, medium, and long-term cash flow position
• Evaluate and recommend investments, funding sources and other financial instruments that will meet these cash flow needs.
• Cash Management
• Reporting and advising
Based in Riyadh and reporting to the Director of Finance. You will handle the day-to-day financial activities related to financial planning, cash management, treasury management reporting & analysis functions.
• Manage day-to-day financial activities related to financial planning, cash management, treasury management reporting & analysis functions.
• Preparation of overall organizational budgets and ensure the effectiveness of the financial control by continuously monitoring the business spending against the budgets.
• Develop quarterly sales for the quarterly performance evaluation of the Operations.
• Prepare Company Financial Plans.
• Introduce new methodologies and techniques for use in financial planning, budgeting, and cash forecasting activities.
• Participate in the development of financial policies, processes, and procedures.
• Recommend any necessary procedures to enhance the internal control environment
• Conduct financial and costing analysis (KPI’s, trends, capital expenditures analysis, variances reporting in terms of actual versus targets reports, deviation reports, etc).
• Analyse the organization’s revenues, liabilities, credit condition and other financial indicators to forecast its short, medium, and long-term cash flow position
• Evaluate and recommend investments, funding sources and other financial instruments that will meet these cash flow needs.
• Cash Management
• Reporting and advising