CFO / Chief Financial Officer
- Recruiter
- Bayt.com
- Location
- Dubai, United Arab Emirates
- Salary
- Competitive
- Posted
- 11 May 2017
- Closes
- 10 Jun 2017
- Job role
- CFO
- Sector
- Accounting - Public practice
This vacancy is Available all around UAE
• Responsible to build the financial reporting and analysis capability within the company.
• Manage the financial reporting, accounting and collection departments of the company.
• Develop a set of business reporting tools and dashboards for senior management.
• Responsible for planning, forecasting and budgeting and involved actively in strategic management.
• Assess, communicate and manage all financial risks within the GCC.
• Ensure regular balance sheet, P&L and cash flow reviews as well as timely reconciliation of all cash, bank and intercompany balances.
• Lead all budgeting and planning processes that are aligned with the long term strategy and the business plans to deliver timely and accurate submissions of forecasts and budgets within the established corporate planning calendar.
• Ensure processes and capability to produce and deliver timely and accurate management accounts that reflect the financial position of the individual companies and the consolidated position.
• Responsible for providing business support and analysis to the senior management team and CEO.
• Responsible for creating financial models.
• Responsible to continuously evaluate and advice on the capital structure.
• Manage banking relationships and facility utilization.
• Responsible to produce periodic financial statements.
• Responsible to build the financial reporting and analysis capability within the company.
• Manage the financial reporting, accounting and collection departments of the company.
• Develop a set of business reporting tools and dashboards for senior management.
• Responsible for planning, forecasting and budgeting and involved actively in strategic management.
• Assess, communicate and manage all financial risks within the GCC.
• Ensure regular balance sheet, P&L and cash flow reviews as well as timely reconciliation of all cash, bank and intercompany balances.
• Lead all budgeting and planning processes that are aligned with the long term strategy and the business plans to deliver timely and accurate submissions of forecasts and budgets within the established corporate planning calendar.
• Ensure processes and capability to produce and deliver timely and accurate management accounts that reflect the financial position of the individual companies and the consolidated position.
• Responsible for providing business support and analysis to the senior management team and CEO.
• Responsible for creating financial models.
• Responsible to continuously evaluate and advice on the capital structure.
• Manage banking relationships and facility utilization.
• Responsible to produce periodic financial statements.