عربي

الصفحة الرئيسية وظائف في الامارات وظائف في دبي وظائف Finance Manager في دبي مدير مالي

مدير مالي

Confidential Company

نشرت في نوفمبر 28, 2019

10 - 15 سنوات دبى - الامارات العربيه المتحدة

محاسب قانوني (محاسب قانوني) ، ماجستير في التجارة (التجارة) ، ماجستير في أداره الاعمال/الدبلوم الجامعي في العمل Mgmt (المالية). أي جنسية

سهل التطبيق

عدد الشواغر01

الوصف الوظيفي

ايميل الوظيفة
تم إرسال البريد الإلكتروني بنجاح.

We are looking for Finance Manager for Dubai, UAE.

Purpose: To develop financial strategy including risk management to meet the business growth objectives and monitor organizational financial performance by interpreting and analyzing all financial statements including balance sheet, cash flow, profit and loss account, ratios and initiate corrective actions as and when required .

Key Responsibility Areas:

• Responsible for investment decision making process including risk management and funds arrangement and also decisions pertaining to debt: equity, sources of funding, formation of companies, capital structure
• Prepare revenue and expenses budgets and communicate across the group to the concerned and agree for monitoring mechanism
• Monitor financial performance (profitability, cost over runs, bad debts, time over runs, assets idleness, foreign exchange threats or opportunities, cash flows, changes in industry structures etc., ) of all business activities and initiate timely and appropriate corrective actions
• Analyze the new venture proposals (verify the assumptions underlying revenue and expenditure forecasts, business environment) and prepare the required project feasibility reports
• Forecast foreign currency and funds requirement for the existing and proposed ventures and recommend suitable banking policy
• Scan macro-economic environment (key indicators on demography, GDP. Consumption, money supply, purchase activities, stock markets, government initiatives etc.,) and guide the management in investments
• Ensure accuracy in recording every outward financial transaction such as cash payments through vouchers, supplier payments through certified bills, refunds, bank transfers, cheque payments and ensure proper approvals are obtained and respective entries in the books of accounts are made and adequate cash is available to meet the requirements
• Ensure every inward financial transaction such as cheques received, proceeds of letters of credit, bank transfers, cash, credit card payments and rents and ensure respective entries in the books of accounts are made
• Ensure payroll is processed on time and all deductions are accurately made and adequate cash is always maintained to meet all employee payments
• Ensure inventory stocks are properly valued and provided for in the books of accounts and reconcile with the stock taking
• Ensure the accounts of foreign exchange earned, consumed, required and purchased including the details of forward booking made and optimize the utilization

Key Performance Indicator's
• Planned Vs actual financial performance attributable to financial inputs (ROI, EVA) such as asset utilization, cash flow, cost of capital
• Number of ventures succeeded vs failed attributable to financial inputs
• Incidents of proactive corrections in financial performance (minimization of loss, optimizing profits) due to timely interventions by financial personnel
Competencies
• Detailed knowledge of ratio analysis, interpretation of financial statements, International Accounting Standards, formulation of financial strategy, cost of capital, financial measurements such as assets utilization, cash flow
• Knowledge of key indicators in economy and their relationship with various business activities
• Ability to forecast foreign exchange fluctuations, impact of global and national events on the business
• Detailed knowledge of strategy formulation and implementation process including balanced scorecard
• Knowledge of international banking, financial instruments and stock markets


مالية/الخزينة

ملخص المرشح المطلوب

Education : Postgraduate in Finance or Accounts and CA
Experience : 10-15 years of relevant experience with the last 5 years in a Managerial role

الكلمات الرئيسية

مدير مالي ترتيبات الصناديق ادارة المخاطر إدارة العائدات إدارة حساب إدارة الميزانية استخدام الأصول إدارة التدفق النقدي صياغة الاستراتيجية عمليه التنفيذ ادارة الرواتب

الدخول للتقدّمسجّل وقدّمقدّم بدون تسجيل

ابلاغ عن هذه الوظيفة

تنبيه:نوكري غلف فقط منصّة يجمع بين كل من الباحثين عن عمل و أصحاب العمل. ننصح المتقدمين للوظائف التحقق من شرعية أصحاب العمل المحتملين. نحن لا ندعم أي مطالبات لتحويل الأموال و ننصح بشدة ضد الإفصاح عن اي معلومات شخصية أو مالية.و ننصح أيضا زيارةتحذير أمنيللحصول على المزيد من المعلومات.إذا تشك في أي غش أو احتيال, مراسلتنا عليabuse@naukrigulf.com

معلومات إضافية مطلوبة

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