QUALIFICATIONS, EXPERIENCE, KNOWLEDGE & SKILLS:
Minimum 8 years of experience in finance, accounting and/or controlling, in an equivalent position. Experience as Audit Manager is a plus.
Understanding of the Power Sector
Ensuring that requirements of Company Law and other local directives and regulations are being fulfilled
Ensuring the compliance of the Companies with shareholders’ Finance and Accounting policies and reporting requirements.
Ensuring compliance with Company’s internal rules and guidelines.
Timely reporting to management, shareholders and authorities on periodical basis, including variance analyses on monthly basis.
Finalizing quarterly (when applicable), half-yearly and yearly financial statements of the companies and workings / schedules relating to financial statements.
Supervising the work carried out by staff of Accounting Department and Reporting Manager (when applicable). Checking and reviewing accounting record for accuracy and completeness.
Ensuring that accounting and other related administrative records of the Company is maintained properly.
Timely submission of VAT and other Tax filings and payments
Being accountable for the set-up and update of the forecasting model, including monthly rolling forecast, Budget and Medium-Term plans.
Being accountable for the Team Management (incl. skills development, training, supervision).
Treasury management: cash projections, financing requirements (drawdown request preparation, working capital facility drawdown), loan repayments, deposits, …
Contributing actively to the improvement of the processes and organization of the work.
Ensuring proper maintenance and development of Company’s accounting and reporting systems.
Supporting the Chief Financial Officer on all Finance, Corporate Governance and other ad hoc matters.
Understanding a shareholder environment / organization is a plus
Strong accounting background: accounting standards (IFRS), systems, controls
Excellent aptitudes in Business Control: reporting, planning
Treasury concepts: cash management, cash flow projections
|Job Location:||Abu Dhabi, United Arab Emirates|
|Job Role:||Accounting and Auditing|
|Career Level:||Mid Career|