● Controlling the process of preparing financial statements.
● Preparing financial reports controlling accounts payable and matching reports.
● Controlling all payments according to rules and procedures Reporting to the holding manager.
● Controlling all business transactions to ensure compliance with SOP and internal controls.
● Registering business transactions in accounting offices based on accounting Standards.
● Checking accounts inventory to ensure all accounts are controlled for daily checking and periodic reconciliations.
● Liquidity management and financing activities to support business and investment operations.
● Guide the budgeting and presentation process Annual budget and related revisions.
● Monitor all transactions to ensure they are in line with the budget, and report possible deviations.
● Provide monthly job performance reports, compared to projected numbers.
● Provide periodic financial statements and respond to external auditors.
Requirements
● Master's of Accounting or Finance.
● At least 10 years of experience in accounting and finance in pharmaceutical companies.
● At least 5 years of experience in financial management.
● Age range preference: up to 50 years.
● English: Excellent.
● Info management.
● Good Excel and skills presentation is preferred.
● Familiarity with budgeting, costing, legal (tax, SSO, etc.) and industrial accounting accounting standards or financial management.
● Knowledge of taxes, insurance and financial rules and standards.
● Skills in preparing reports and financial statements.
● Familiarity with affairs and banking procedures.
● Performance management skills.
● Negotiation skills.
● Highly flexible and motivated.