Job Description

• Collecting, interpreting and reviewing financial information. • Predicting future financial trends • Monitoring company’s financial transactions, International commercial contracts, Logistic contracts, Customs clearance contracts, Insurance contracts by different methods and channels at target countries and provide solutions for improvement. • Reporting to management and stakeholders, and providing advice on how the company should navigate its decisions in the future. • Producing financial reports related to budgets, account payable, account receivables, expenses etc. • Developing long-term business plans based on mentioned reports . • Oversee the general accounting function, which includes inter-company accounting, cash management, financial reporting, and balance sheet management. • Ensure the financial standing of the company is balanced with business objectives, targets are met and that only valid claims with proper management authorization are paid. • Prepare reports which summarize and forecast company business activity and financial position in areas of income, expenses, and earning based on past, present, and expected operations. • Directly preparing budget plans, reviewing budget proposals and preparing necessary arguments and justifications. . • Ensure policies and procedures (internal controls) are in place to provide optimum efficiency, data integrity and accuracy. • Ensure that company financial records, under responsibility, are maintained in compliance with company policies and regulatory requirements. • Supervise the completion of tax reporting requirements (including income, sales, and payroll), SSO insurance reports and other reports required by government agencies. • Designing comprehensible accounting structure which ensures accounting standards and requirements remain solid in the future. • Coordinate work relating to external audits in the review of the company financial records. In addition, carry out the implementation of agreed upon recommendations, related to areas of responsibility, resulting from the audit findings. • Conducting reviews and evaluations for cost-reduction opportunities.

Requirements

• Bachelor or master degree in accounting or financial management • Minimum 10 years of experience in reputable companies • An excellent knowledge of accounting and finance • Good communication skills • Ability to work in a fast-paced environment • Hands-on and willing to be involved in the detail • Analytical Thinking • Expert in Microsoft Office • Proficiency in insurance and tax laws

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