FINANCE MANAGER (Arabic English) - Industrial/Manufacturing
Category : Managerial/Executives
Location : Abu Dhabi
Cash flow management and forecasting.
Overseeing the accounts and books of the company including audits.
Responsibility for internal and financial controls in accordance with company policies and UAE legislation.
Ensuring accurate and timely recording and documentation of accounting and financial transactions.
Establishing and managing formal monthly closing.
Establishing and managing formal monthly closing.
Reviewing and approving expenses, payroll calculation, cash withdrawals and transfers.
Managing treasuring activities in accordance with Group policy and instructions of Group Treasury.
Ensuring accounting and Treasury policies and guidelines are fully implemented and complied with.
Maintaining transfer pricing policy and documentations for trade related intercompany transactions.
Conducting on-going analysis of companys financial performance.
Preparing monthly management reports. Overseeing Payroll function; establishing procedures, checking accuracy and ensuring timely processing.
Qualification & Experience 10 years post qualification experience. Expert in cash flow
management. Industrial / manufacturing environment appreciation.
Experienced bank fee and interest negotiations.
Have a minimum of 10 years experience and financial modules or applications within ERP Systems.
Must have good knowledge of IFRS specifications Expert in cash flow management.
Category : Managerial/Executives
Location : Abu Dhabi
Cash flow management and forecasting.
Overseeing the accounts and books of the company including audits.
Responsibility for internal and financial controls in accordance with company policies and UAE legislation.
Ensuring accurate and timely recording and documentation of accounting and financial transactions.
Establishing and managing formal monthly closing.
Establishing and managing formal monthly closing.
Reviewing and approving expenses, payroll calculation, cash withdrawals and transfers.
Managing treasuring activities in accordance with Group policy and instructions of Group Treasury.
Ensuring accounting and Treasury policies and guidelines are fully implemented and complied with.
Maintaining transfer pricing policy and documentations for trade related intercompany transactions.
Conducting on-going analysis of companys financial performance.
Preparing monthly management reports. Overseeing Payroll function; establishing procedures, checking accuracy and ensuring timely processing.
Qualification & Experience 10 years post qualification experience. Expert in cash flow
management. Industrial / manufacturing environment appreciation.
Experienced bank fee and interest negotiations.
Have a minimum of 10 years experience and financial modules or applications within ERP Systems.
Must have good knowledge of IFRS specifications Expert in cash flow management.