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Finance Manager

trading institution, Trading Institution, Saudi Arabia

Our trading institution in Saudi Arabia is seeking a dedicated Finance Manager to join our team. We pride ourselves on our commitment to excellence in the financial industry, and we are looking for a professional who shares our passion for accuracy and strategic financial management. Our work culture values integrity, innovation, and teamwork, making it an ideal environment for driven individuals to thrive.

As a Finance Manager with us, you will play a crucial role in the financial planning and budgeting processes. Your responsibilities will include developing annual budgets and financial forecasts, as well as monitoring expenses and revenues to ensure they align with our financial goals. Additionally, you will be tasked with preparing monthly, quarterly, and annual financial statements while conducting variance analysis to provide valuable insights to senior management.

In this position, you will also be responsible for managing cash flow and treasury activities. This includes overseeing liquidity, investments, and financing activities to optimize working capital and ensure there are sufficient funds available for daily operations. Furthermore, you will be expected to focus on compliance and risk management by ensuring adherence to tax laws, accounting standards, and regulations. Implementing effective financial controls to mitigate risks is essential in this role.

If you are a finance professional with a strong background in financial planning, analysis, cash flow management, compliance, and risk mitigation strategies, we invite you to apply for the Finance Manager position at our trading institution. This role is ideal for mid-career professionals looking to take their finance career to the next level within a dynamic and supportive work environment. Join us in driving excellence in financial management while contributing to the success of our organization. Apply now!

Key Job Requirements:
  • 5+ years of experience in financial planning
  • Experience in budgeting and forecasting
  • Knowledge of financial reporting
  • Bachelor's degree in Finance or related field
  • CPA or CFA certification
  • Strong analytical skills
Key Job Responsibilities:
  • Develop annual budgets and financial forecasts
  • Prepare monthly, quarterly, and annual financial statements
  • Manage liquidity, investments, and financing activities
  • Ensure compliance with tax laws, accounting standards, and regulations
Skills:
  • Financial planning
  • Budgeting
  • Financial reporting
  • Variance analysis
  • Cash flow management

Seniority Level: Middle Management

Job Functions: Finance

  • Budgeting
  • Financial Reporting
  • Cash Flow Management

Industries : Trading Institution

  • Finance
  • Banking

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