Providing support for cashflow planning
Bank reconciliations
Analysing competitor activity
Risk management
Creating statutory accounts
Analysing market trends
Financial reporting
Tax structuring for each country of operation
Prepari the annual budget
Co- ordinate and manage cash flow and bank liaison
Govern accounting software and the ledgers therein
Administer and supervise payroll for the company
Preparation & analysis of monthly management accounts, performance, variances & trends
Preparation of budgeting and forecasting processes
Development, implementation & documentation of effective and efficient business processes, internal controls and accounting policies to ensure robust financial control
Overseeing the control of Payables and Receivables
Liaising with company’s external accountants in regards to audit and other ad-hoc matters
Responsibility of review and finalisation of quarterly FTA VAT returns
Review and creation of various contracts as required
Management of project work including tender submissions
Support of operations where required
AC qualifications
CPA or CFA qualification
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