Position: Group CFO
Location: Afghanistan
CTC: 10000 USD to 15000 USD
System based Activities:
- Contract detail verification and Supervision
- Planning documentation and supervision
- Waybill transaction verification and supervision
- Wagon movement tracking verification and supervision
- Authorization of item charge invoices and item journal transaction supervision
- Inventory movement verification and authorization.
- Review of payment transactions
- Approve other postings in system
Manual Work:
- Preparing of financial statement of the Group companies
- Preparation of budgets and management accounts
- Coordination with the external auditor and provide the updated record and resolve their issues on timely basis.
- Ensure inventory balances are reconciled and finalize supplier balances
- Monitoring the work performed by the finance team in Dubai and Afghanistan.
- Ensure all financial transactions are adequately supported and ensure timely payments and review payment documents
- Generate reports from the system and manually as requested by the management
- Prepare debtor age analysis and report overdue balances with justifications to Director Finance
- Perform other tasks as assigned by the management
- Review bank and inter company account reconciliation statements
- Prepare account opening documents and coordination with banks
- Ensure that an appropriate financial policy framework is in place to guide the Management Board’s financial decision-making.
- Ensure appropriateness of the key financial assumptions included in the company’s strategic plans and annual budget proposals. Provide advice to senior management colleagues on these matters.
- Work closely with senior management, advising them on like financial consequences of all proposed courses of action.
- Maintain contact and liaise with bankers, advisers and auditors to ensure long term financial security and stability the company.
- Review and present budget and forecasts to Management Board on timely basis along with reasons for variances
- Provide full accounting services for all business units including financial analysis and exploring any potential problems with them in order to make appropriate budgetary decisions.
- Ensure the production of accurate monthly management accounts for consumption of Management Board.
- Ensure Provision of KPI report to Management Board on daily basis
- Monitoring the work performed by the finance team
- Review major contracts with suppliers
- Approve reconciliation of fixed asset register with General Ledger
- Approve inter-company account reconciliation on monthly basis
- Produce rolling cash flow forecast, monitor cash position daily and ensure creditor’s terms are met.
- Plan and manage tax liabilities under existing and proposed legislation. Evaluate the tax liability impact of contemplated courses of action, minimize the tax burden and deal with tax authorities.
- Undertake such other financial analysis and reporting as requested by the Chairman and CEOs.
- Advise the Leadership Team on major financial issues as they arise.
- Contribute to CEO’s Risk Management strategic policy and procedures.
- Ensure management and maintenance the financial accounting systems of the group entities including fixed asset and depreciation records.
- Provide a high level of professionalism reflected in a sound budgetary policy resulting in maximum profit to the group
- Ensure that the records are maintained to meet external legal and tax requirements.
- Ensure financial and other reporting systems are maintained to the standards required by the group, external auditors and regulatory bodies
- Ensure compliance with applicable regulatory requirements.
- Ensure external audit is concluded within 1 month of close business year.
- Ensure all observations raised by external and internal auditors are duly rectified in reasonable time.
- Ensure compliance with GNG policies and procedures
- Ensure timely recovery of Debtors and highlighting potential bad debts to Management Board on timely basis.
- Approve bank reconciliation statements
- Review bank account opening
Interested candidates can apply immediately or call on 079-66057704
Alkesh
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