Duties & Responsibilities:
• Providing and interpreting financial information
• Business modeling and forecasting
• Monitoring performance and efficiency
• Analyzing change and conducting risk asses
• Participating in strategic planning, and formulating long-term business plans
• Researching and reporting on factors influencing business performance
• Pricing and competitor analysis
• Developing complex finance models
• Assessing the financial implications of new or existing ventures
• Conducting reviews and evaluations for cost-reduction opportunities
• Preparing accounts and reconciling balance sheets
• Overseeing budgetary control
• Ensure proper and healthy cash flow
• Arrange finance requirements with banks and ensure timely settlements
• Liaising with other members of the team and across the business
• Develop budgets and forecasts as well as recommendations to improve cash flow
• Improve cash flow - our target is to have excess cash and be less dependent on banks
• Negotiate with banks to have better interest rate
• Improve company profitability by reducing overall bank and finance charges
• Make a big impact on reducing overall outstanding with our customers by improving our collections
• Suggest/implement ideas to improve the financial performance of the company
• Manage the entire accounting team in the company
• Set budget to each department and implement a very strict cost control
Job Details
| Date Posted: | 2016-08-21 |
| Job Location: | Jeddah , Saudi Arabia |
| Job Role: | Accounting/Banking/Finance |
| Company Industry: | Financial Services |
Preferred Candidate
| Career Level: | Management |
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