Finance Manager

  • Qala Group
  • Elanın qoyulma tarixi: 19.12.2023
    Vakansiyaya müraciət tarixi bitmişdir.

İşin təsviri

The Finance Manager will be responsible for all matters with regards to the tax, financial and accounting control, ensuring the integrity of internal controls and accounting information in compliance with IFRS and local FRS and maintaining the integrity of the General Ledger (GL) in order to ensure accurate reporting of the financial results.                                 

Responsibilities:

  • Financial Accounting and Audit
  • Ensure the business transactions related to the project are maintained in the GL in full compliance with IFRS, local reporting standards and company financial policies and procedures.
  • Ensure the accuracy, quality and timely closing of books.
  • Review and approve the monthly accruals and provisions for accuracy and completeness.
  • Manage external audit process of periodical financial statements as per directives received.
  • Coordinate with consultants on matters related to financial accounting and audit.
  • Ensure financial control of periodical financial statements in line with relevant policies and requirements.
  • Managerial Accounting and Reporting
  • Prepare cash flow forecasts, managerial financial reports, financial analyses, and budgets on a periodical basis as required by stakeholders.
  • Prepare relevant reports and updates as required and to the set standards.
  • Ensure the maintenance (update) of the financial models.
  • Accounts Payable (AP) and Accounts Receivable (AR)
  • Review AP and AR works and reports to ensure compliance with company’s requirements.
  • Manage AP and AR in line with agreed Service Level Agreements (SLAs).
  • Review invoice approval status and ensure processing timelines are being managed.
  • Review month end AP and AR reports – performing reconciliation and ageing and follow up where required.
  • Review and advise as appropriate on ad-hoc invoice and payment matters.
  • Approve third party invoices to be entered in AR ledgers and required supporting documents.
  • Tax Compliance
  • Ensure that tax reporting and payment are as per applicable laws, informing decision-makers of tax consequences of various business decisions.
  • Ensure full compliance of tax reports with applicable laws.
  • Manage the collection of receivables from tax authorities.
  • Manage all activities and issues around external tax inspections.
  • Reconcile payments & bank accounts
  • Review and approve the month end bank reconciliations.
  • Follow up on and clear reconciling items on the bank reconciliations.
  • Ensure bank deposits are reconciled and categorized correctly as deposit, short or long term restricted cash.
  • Maintain relations with stakeholders
  • Maintain ongoing coordination and build relationships with internal and external stakeholders in order to ensure that all project finance, tax, accounting and reporting requirements are met timely and effectively.
  • Ensure adherence to shareholders’ agreement and delegation of authority.
  • Fulfil all lenders’ information and other compliance requirements.
  • Governance
  • Ensure the adherence to the restriction of the financing documents and project company requirements.

Requirements:

  • 3-5 years in Audit in Big 10 accounting companies
  • 2-3 years in Finance department of a Real Estate / Construction company 
  • Strong knowledge of reporting standards
  • Knowledge of English is mandatory.
  • Experience in building and managing internal accounting teams.
  • Desire to take on responsibility.

What we offer:

  • Competitive pay
  • Support in personal development
  • Fast career progress
  • Performance based compensation growth

Candidates are requested to send their photo CVs with the subject "Finance Manager". Only qualified candidates will be invited for interview.

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