Key Responsibilities

  • Develop and maintain financial models to forecast future financial performance.
  • Analyze financial data and trends to provide insights and recommendations for decision-making.
  • Prepare budgets, financial reports, and variance analyses to track performance against targets.
  • Conduct scenario analysis to assess the potential impact of strategic decisions on financial outcomes.
  • Lead the budgeting process and work with department heads to set budget targets.
  • Prepare accurate and timely financial statements in accordance with generally accepted accounting principles and regulatory requirements.
  • Ensure compliance with tax laws, financial regulations, and internal policies.
  • Coordinate external audits and provide necessary documentation and support.
  • Implement and maintain internal controls to safeguard assets and mitigate risks.
  • Monitor and control budgets to ensure alignment with organizational goals.
  • Identify cost-saving opportunities and efficiency improvements.
  • Oversee the preparation and distribution of financial statements, including income statements, balance sheets, and cash flow statements.
  • Manage cash flow by forecasting cash needs and optimizing cash balances.
  • Monitor accounts receivable and accounts payable to ensure timely collection and payment.
  • Evaluate investment opportunities and recommend strategies to maximize returns on surplus funds.
  • Oversee day-to-day financial operations, including accounts payable, accounts receivable, and payroll.
  • Manage banking relationships and facilitate the processing of transactions.
  • Review and approve financial transactions, ensuring accuracy and compliance.
  • Supervise contract execution process and ensure project requisitions are dispatched promptly.
  • Arrange new sources of finance for a company's debt facilities
  • Managing payments, lending, and cost
  • Leading the analysis of monthly and quarterly numbers and presenting findings to the board.

Requirement

  • ACCA Certified
  • 3-4 years of experience in financial management
  • Strong knowledge of financial principles, accounting standards, and financial analysis.
  • Analytical and problem-solving abilities.
  • Strong attention to detail and a high level of accuracy.
  • Knowledge of relevant laws, regulations, and compliance requirements
  • Previous experience in treasury management
  • Previous experience of working with startups
  • Fluent in written and spoken English

نوکری کی تفصیلات

کل عہدے:
1 اشاعت
نوکری کی شفٹ:
پہلا پہر
نوکری کی قسم:
نوکری کا مقام:
جنس:
مرد
کم از کم تعلیم:
بیچلرز
ڈگری کا عنوان:
marketing, business administration, or a related field.
کیریئر کی سطح:
تجربہ کار پیشہ ور
کم از کم تجربہ:
3 سال
اس سے پہلے درخواست دیجیۓ:
اپریل ۱٦, ۲۰۲۴
تاریخِ اِشاعت:
فروری ۲۹, ۲۰۲۴

Moveit

انفارمیشن ٹیکنالوجی · 11-50 ملازمین - اسلام آباد

We provide Logistics services both B2B and B2C.

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