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الوصف الوظيفي Responsible on all activities that deals with banks and financial institutions such as SIDF requirements. To supervise all accounting staff to assure smooth operation on company’s financial activities. Manage directly on the closing of financial statements. Provide directly to management the monthly financial statements and reports. Prepares vital and analysis and information that relates to financial matters for management review. Manage the company’s cash management including making forecast /weekly/monthly cash requirements and processing major transfers. Prepares the monthly and yearly cash flow schedule. Prepares the financial activities and planning reports for board Meeting Agenda. Attends directly to all inquiries from all source such as government agencies, board of directors pertaining to company’s financial status and reports. Assist and coordinate the external auditor for a smooth audit of financial records. Conduct training to accounting staff of improving personal standard, integrity honest and performance. Implement changes and develop internal control procedures to protect company’s assets from possible fraud and losses. Supervise on annual physical inventory count. Attends daily management management /requirements involving financial matters. المهارات Fluent in English , and Preferably in Arabic is and advantage. Computer literate to Accounting . الخلفية التعليمية تفاصيل الوظيفة https://www.bayt.com/ar/saudi-arabia/jobs/finance-manager-3757230/ |
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