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Job Description

Should serve as a key member of the senior management team to develop operational and strategic business plans, forecast and presentations.
Implement financial controls.
Preparation of reports daily, weekly and monthly which include the flow of business.
Preparation and presentation of monthly Business Review.
Management of all banking related transactions
Daily cash flow monitoring
Monthly balance sheet reconciliations review
Use industry experience and initiative to identify areas for cost cutting and/or revenue improvement.
Manage and coordinate internal and external audits.
Oversee the payroll preparation
In-charge for all accounts and finance functions