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Finance Manager
Riyadh, Riyadh Province, Saudi Arabia · Jornada completa
Sé el primero en postularte
- Experiencia
- Más de 5 años
- Salario
- —
- Vacantes
- 1
- Al corriente
- Hace 5 horas
- Modo de trabajo
- En la oficina
- Educación
- Professional degree like CA, ACCA, CPA
- Reanudar
- Se requiere solicitud
Dónde trabajarás
Descripción del trabajo
Overview
The Finance Manager plays a pivotal leadership role in guiding the company's financial strategy and operations, especially crucial within SME settings. This position demands both visionary leadership and hands-on management capabilities in finance and accounting domains.
Key Responsibilities
- Manage all aspects of finance, accounting, auditing, reporting, legal, and HR functions ensuring compliance with applicable regulations.
- Prepare and maintain comprehensive accounting documentation and oversee all financial transactions.
- Manage company finances including accounts receivable, accounts payable, and banking operations.
- Conduct reconciliations and prepare VAT quarterly returns, monthly excise returns, and handle UBO and ESR submissions if applicable.
- Fulfill local reporting requirements to ZATCA, Ministry of Finance, E-invoicing, and Labor departments.
- Participate actively in periodic local executive management meetings.
- Assess and optimize workflows and internal controls in finance and personnel structure to align with current legislative standards.
- Serve as primary contact for headquarters on all finance matters and manage weekly and monthly reporting to them.
- Prepare management information system reports, cash flow analyses, and present financial data to CEO and Group Finance Controller as required.
- Lead the finance department’s financial reporting, budgeting, and long-range planning aligned with CEO and Group FC direction.
- Handle yearly audit compliance processes and fully manage accounts receivable and overdue collections.
- Coordinate with sales and customers for payments follow-up and manage collections for delinquent accounts.
- Maintain and manage corporate banking accounts, including entries, payments, checks, remittances, KYC compliance, and bank negotiations.
- Drive process improvements to enhance periodic financial reporting and analytics quality.
- Assist CEO in budgeting processes including sales, costs, HR, payroll balancing, and strategic financial simulations.
- Conduct annual budgeting, forecasting, inventory valuation, intercompany reconciliations, and group reporting to headquarters.
- Oversee all HR administrative duties including visa processes, contracts, Saudization compliance, payroll preparation, and staff expense reimbursements.
- Manage company contracts such as rentals, leases, insurance, and annual maintenance agreements.
- Monitor staff development and actively participate in training and refresher courses.
Skills and Competencies
- In-depth knowledge of finance and accounting principles.
- Exceptional analytical and problem-solving abilities.
- Strong communication skills, both written and verbal.
- Effective interpersonal skills and business partnering capability.
- Organized, adaptable, and capable of working under pressure to meet deadlines.
- Advanced proficiency in Excel, MS Access, and PowerPoint.
- Strong project management and multitasking skills.
- High energy with strong ownership and commitment to results.
- Confident decision-making based on data and facts.
- Proactive in foreseeing and mitigating internal and external risks.
- Accountable and open to learning from mistakes.
Qualifications and Experience
- Professional finance or accounting qualification such as CA, ACCA, or CPA.
- Degree in Finance, Information Technology, Accounting, or related fields.
- Minimum 5 years experience in corporate finance or accounting roles.
- Proven expertise in financial modeling, budgeting, strategic planning, and resource allocation.
- Experience with Oracle Netsuite is advantageous.
- Fluency in English and Arabic, both spoken and written.