Excel Proficiency: Utilize advanced Excel skills to develop and maintain financial models.
Cash flow: Manage & provide forecasted on inflow to make approval decisions on outflows
Financial Modeling: Create detailed financial models to support decision-making processes.
Risk Management: Manage financial risk (interest, foreign exchange, credit risk) and provide strategy based on monetary policies.
Investments: Oversee company's investment activities, short & long term investment strategies.
Data Analysis: Conduct in-depth financial analysis to provide insights on financial performance.
Budgeting and Forecasting: Assist in the preparation of budgets and forecasts, ensuring accuracy and reliability.
Reporting: Prepare monthly, quarterly, and annual financial reports for senior management.
Collaboration: Work closely with various departments to gather financial data and support business units.
Expenses: review, manage and be involved in the budget tracking
Market research: understand the regional taxation laws, regulations & compliance to insure proper financial standards.
Monitor and Control budgets to make it consumed in the right direction
Requirements
6 years of experience in financial planning and analysis, with a strong understanding of finance principles, 3 years in managerial at least, media background is a plus
Proficiency in Microsoft office and any Accounting software (Quickbooks, Zoho, SAP, Sage)
capable the handling business valuations for new investment opportunities
Excellent written and verbal communication skills in both English and Arabic
Excellent analytical skills and the ability to create and present reports
Bachelor's or master's degree in finance, accounting, or related field
Professional accounting or finance qualification preferred (e.g., CPA, CFA, CMA)
Understanding of the basic accounting principles, local laws, regulations, tax legislation and social insurance policies.
Exceptional communication, customer service orientation and negotiation skills