Job Description

Developing and leading the company’s financial and economic strategies in line with overall organizational objectives
Designing, developing, and controlling the annual budget, as well as monitoring and analyzing budget variances
Analyzing financial performance, monitoring cash flows, and assessing the company’s financial health for reporting to the CEO and Board of Directors
Providing high-level oversight of financial policies, processes, and procedures, and driving their continuous improvement
Supervising the preparation of financial statements, management reports, and tax returns
Planning and managing financing, credit facilities, and investment activities
Monitoring and controlling financial operations, payroll, and tax-related matters
Determining and analyzing the cost of products and services and providing decision-support reports
Ensuring full compliance with financial, tax, and social security laws and regulations, and liaising with relevant authorities
Demonstrating strong proficiency in financial systems and comprehensive knowledge of accounting, auditing, taxation, and social security regulations

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