Employer Active
Manage and train the local administrative team (accounting, cash collection, tax & legal, treasury, internal control, cost control, payroll) • Ensure the production of the subsidiary's corporate accounts and payroll and guarantee compliance with local accounting, tax and social obligations • Budgeting and forecasting analysis (P&L, Balance Sheet, Cash flow, CAPEX, etc ) • Organize Boards of Directors and Shareholders' Meetings • Manage relations with the supervisory authorities • Preparation of monthly reporting and ensure control of activities as well as operational dashboards • Responsible of both external and internal audits • Responsible of Treasury department • Ensure a daily relationship with the company's head office and be able to provide adhoc analyses on request. • Finance Master Degree • Minimum 5+ years of experience in a similar position or in accounting • Fluent in English & Arabic will be an added advantage • Forecasting skills • Multicultural teams management
Full Time