Financial Controller
- Recruiter
- شركة التكامل للموارد البشرية والحاقها بالخارج
- Location
- Cairo, Egypt
- Salary
- Competitive salary
- Posted
- 21 Oct 2020
- Closes
- 19 Nov 2020
- Ref
- 4248003
- Job role
- Financial controller
- Sector
- Accounting - Public practice
• Oversee and manage the issuance of financial statements and management accounts.
• Monitor and develop the reporting system.
• Report financial results and information to Corporate CFO and Managing Director
• Ensure the accounting record keeping complies with IFRS and meets the requirements of local government autorities.
• Construct and monitor reliable control systems.
• Develop performance measures supporting the company’s strategic direction.
• Monitor the budgeting process and manage the issuance of the annual budget and projections.
• Participate in developing the company’s business plans.
• Manage the preparation of financial studies for potential investments & projects.
• Arrange for debt and equity financing.
• Participating in new companies establishment and manage the required financial closure.
• Supervise acquisition due diligence.
• Manage international taxation accounts
• Manage cash balances and Monitor cash forecasts.
• Maintain banking relationships.
• Liaise with external auditors & financial and tax consultants and investigate their findings and recommendations.
• Monitor and develop the reporting system.
• Report financial results and information to Corporate CFO and Managing Director
• Ensure the accounting record keeping complies with IFRS and meets the requirements of local government autorities.
• Construct and monitor reliable control systems.
• Develop performance measures supporting the company’s strategic direction.
• Monitor the budgeting process and manage the issuance of the annual budget and projections.
• Participate in developing the company’s business plans.
• Manage the preparation of financial studies for potential investments & projects.
• Arrange for debt and equity financing.
• Participating in new companies establishment and manage the required financial closure.
• Supervise acquisition due diligence.
• Manage international taxation accounts
• Manage cash balances and Monitor cash forecasts.
• Maintain banking relationships.
• Liaise with external auditors & financial and tax consultants and investigate their findings and recommendations.