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You will be updated with latest job alerts via emailYOUR RESPONSIBILITIES WILL INCLUDE:
Overall responsibility in maintaining books of accounts of the company & reporting the financial
results on monthly basis in line with US GAAP & Corporate financial policies.
Analyze & interpret financial information to support Commercial Operations and Supply Chain
functions
Perform monthly balance sheet reviews semiannual preclose procedures to assess company
financial position in line with corporate financial policies
Ensure proper design & execution of internal controls over financial transactions
Overall responsibility in Manage accounts payable function in line with company working capital
targets
Manage treasury and Controllership activities
Handle Income tax VAT and other tax matters
Supervise work of direct reports
Take part in the company strategic planning process and regular managerial activities
Liaise with Banks Government Institutions Auditors & other financial institutions .
Coordinate Internal & External audits with respective audit firms
Handle local and W schedule related (Corporate) tax matters
Conduct mid year and year end stock verifications
Any other work within scope of skills and experience
Third party outsourcing work management
Qualifications :
Qualified member of a professional accounting body such as ICASL/ CIMA with a degree from a
recognized university
Three years audit experience at a reputed audit firm and three years mercantile experience
preferably in manufacturing and export industry
Hands on experience in Oracle ERP system
Sound knowledge of IFRS Tax and other regulations
Excellent communication and interpersonal skills and strong analytical skills
High level of computer literacy. Advanced knowledge in MS Excel
Additional Information :
Remote Work :
No
Employment Type :
Fulltime
Full-time