Director of Financial Affairs Department

Job Vacancy Announcement

A Public Shareholding Company is seeking to attract qualified candidates to fill the position of:
Director of Financial Affairs Department

General Job Purpose:
To lead and direct the Financial Affairs Department, including financial planning, budgeting, financial reporting, cash management, and compliance, to achieve financial efficiency and sustainability in line with local and international standards.

Qualifications & Experience:

  • Bachelor’s degree in Accounting, Finance, or equivalent; professional certification (CPA, CMA) preferred.
  • Minimum of 12 years’ experience in finance, including more than 6 years in supervisory or leadership positions.
  • Proficiency in English (reading, writing, speaking).

Core Skills:

  • Leadership and people management
  • Planning and organization
  • Analytical thinking
  • Continuous improvement
  • Problem solving and critical thinking
  • Cost management
  • Liquidity and funding management
  • Financial risk management
  • Budget preparation
  • Proficiency in English

Supervisory Duties:

  • Supervise the Accounting & Planning, and Treasury & Cash Management directorates.
  • Ensure budget monitoring and alignment.
  • Develop and monitor KPIs.
  • Assess performance and identify development opportunities.
  • Identify training needs.
  • Ensure initiatives are delivered on time.
  • Participate in recruitment.
  • Establish a motivating work environment.
  • Provide support and guidance.

Financial Strategy Development:

  • Oversee the development of the financial strategy in alignment with company strategy.
  • Develop the company’s financial model.
  • Monitor annual financial planning and ensure alignment with long-term objectives.

Budget Management:

  • Develop budget manuals and operational models.
  • Consolidate departmental budgets.
  • Review and analyze variances.
  • Approve reallocations after evaluation.

Accounting & Compliance:

  • Manage accounts payable, receivable, and assets.
  • Review periodic reconciliations.
  • Ensure compliance with local and international accounting standards.

Financial & Management Reporting:

  • Prepare financial reports (income statement, cash flow).
  • Review management reports (profitability, costs).
  • Analyze financial performance and provide recommendations.
  • Coordinate with external auditors.

Cash & Banking Management:

  • Monitor cash flow and ensure liquidity.
  • Manage supplier and employee payments.
  • Manage banking relationships (accounts, reconciliations).

Investor Relations & Tax Compliance:

  • Prepare tax disclosures and analyses.
  • Manage investor relations and organize General Assembly meetings.
  • Communicate with regulatory bodies to ensure compliance.

 

إعـلان وظيفـة شاغـرة

تعلن شركة مساهمة عامة عن رغبتها في استقطاب كفاءات متميزة لشغل وظيفة:
مدير إدارة الشؤون المالية

الاختصاص العام للوظيفة:

Post date: 6 October 2025
Publisher: Akhtaboot
Post date: 6 October 2025
Publisher: Akhtaboot