We are a fast-growing company specializing in international trade and export, committed to delivering high-quality products and building long-term partnerships across global markets. To support our expansion, we are seeking a skilled and strategic Financial Manager to lead our financial operations and ensure the company’s sustainable growth.
Key Responsibilities:
Develop and oversee financial strategies, budgets, and forecasts aligned with company objectives.
Manage cash flow, financial reporting, and performance analysis.
Ensure compliance with local and international financial regulations.
Supervise accounting operations, audits, and tax matters.
Analyze financial risks and opportunities, providing actionable insights for decision-making.
Collaborate closely with management and business units to optimize financial performance.
Monitor and control export-related financial transactions and documentation.
Requirements:
Bachelor’s or Master’s degree in Finance, Accounting, or related field.
Minimum 7 years of professional experience, preferably in export or international trade companies.
Strong understanding of financial regulations, accounting standards, and tax laws.
Proven experience in financial planning, reporting, and cost control.
Proficiency in ERP systems and MS Office (especially Excel).
Excellent analytical, leadership, and communication skills.
Professional proficiency in English (both written and spoken) preferred.
Experience with international payment methods (LCs, TT, etc.).
Familiarity with foreign exchange management and export documentation.
Relevant professional certifications (e.g., ACCA, CPA, CMA) are a plus