مدیر ارشد مالی

صنایع پلاستیک خوزستان تهران

منتشر شده 1 ماه پیش

Job Description

Are you an experienced financial professional with expertise in process optimization and strategic financial management? We are looking for a dynamic chief financial officer to join our team and lead responsibility in refining financial processes, chart of accounts, internal controls, tax compliance, expense management, budget forecasting, cash flow management, and financial forecasting.

Responsibilities:

  • Process Review and Optimization: Assess existing financial processes and identify opportunities for improvement and efficiency.
  • Chart of Accounts Improvement: Evaluate and refine our chart of accounts to ensure accurate financial reporting and alignment with organizational goals.
  • Establishing internal controls: Developing and implementing robust internal controls to protect company assets and ensure regulatory compliance.
  • Tax Compliance: Overseeing all aspects of tax compliance including timely filing of tax returns, adherence to tax laws and regulations and optimization of tax strategies.
  • Cost Center Management: Define cost centers in the organization and check the costs related to each center. Analyze cost structures, identify cost reduction opportunities and ensure efficient allocation of resources.
  • Budget Forecasting: Prepare comprehensive budget forecasts to support strategic planning and resource allocation decisions. Monitor budget performance and make recommendations for adjustments where necessary.
  • Cash flow management: Manage cash flow effectively to ensure liquidity and meet financial obligations. Implement strategies to optimize cash flow, minimize financing costs, and maximize returns on excess cash.
  • Financial Forecasting: Prepare accurate financial forecasts to predict future trends, identify potential risks and opportunities, and support long-term financial planning initiatives.

Requirements

  • Bachelor's degree in Finance, Accounting, or a related field (a Master's degree is preferred).
  • Proven experience in financial management roles, with expertise in process improvement, internal controls, tax compliance, cost management, budget forecasting, cash flow management, and financial forecasting.
  • Strong analytical skills and attention to detail, with the ability to interpret complex financial data and provide strategic recommendations.
  • Excellent communication and interpersonal skills, with the ability to collaborate effectively across departments and influence decision-making at all levels of the organization.
  • Demonstrated leadership abilities, with a track record of driving change, delivering results, and fostering a culture of continuous improvement.

Employment Type

  • Full Time

Details

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