Chief Financial Officer (cfo)

Dubai, United Arab Emirates

Job Description

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We are seeking an experienced and dynamic Finance Director to join team and contribute to the financial management and strategic planning of our group of companies in the UAE.
  • Build financial models and forecasts for business planning and budgeting.
  • Develop tariffs, unit economics and data.
  • Develop and implement financial strategies aligned with the company\'s overall objectives and growth plans.
  • Provide financial analysis, forecasting, and guidance to support strategic decision-making.
  • Assess and manage financial risks, identifying areas of improvement and implementing corrective actions.
  • Evaluate and drive cost-saving initiatives and efficiency improvements across the organization.
  • Establish and maintain financial policies, procedures, and controls.
Responsibilities: Financial Strategy and Planning:
  • Build financial models and forecasts for business planning and budgeting.
  • Develop tariffs, unit economics and data.
  • Develop and implement financial strategies aligned with the company\'s overall objectives and growth plans.
  • Provide financial analysis, forecasting, and guidance to support strategic decision-making.
  • Assess and manage financial risks, identifying areas of improvement and implementing corrective actions.
  • Evaluate and drive cost-saving initiatives and efficiency improvements across the organization.
  • Establish and maintain financial policies, procedures, and controls.
Financial Reporting and Analysis:
  • Prepare accurate and timely financial reports, including balance sheets, income statements, and cash flow statements.
  • Provide comprehensive financial analysis and insights to the executive team and the Board of Directors.
  • Monitor financial performance, identify trends, and highlight areas of concern or opportunity.
  • Ensure compliance with financial regulations and accounting principles.
  • Conduct the internal audit activity related to finance, operations, and other support functions of the group of companies.
Budgeting and Forecasting:
  • Lead the annual budgeting process, working closely with department heads to develop realistic budgets and financial targets.
  • Monitor and track budget performance, providing regular updates and variance analysis.
  • Develop long-term financial forecasts and scenarios to support strategic planning and resource allocation.
Cash Flow and Treasury Management:
  • Manage the company\'s cash flow, ensuring sufficient liquidity for daily operations and long-term growth, including cryptocurrency.
  • Maintain accounting, tax and management reports.
  • Optimize cash management strategies, including investments, debt financing, and working capital management.
  • Establish and maintain relationships with banks, lenders, and other financial institutions.
  • Open and maintain bank accounts, including international banks.
Stakeholder Management:
  • Collaborate with external auditors, tax advisors, and regulatory agencies to ensure compliance with financial reporting requirements.
  • Communicate financial performance, risks, and opportunities to the executive team, Board of Directors, and other stakeholders.
  • Provide financial guidance and support to other departments, assisting with financial analysis and decision-making.
Financial Compliance & Taxes
  • Overview the Taxation (Income Tax) and VAT matters.
  • Report and manage the financial compliance issues/deficiencies.
Important expertise, competencies, and values:
  • Ukrainian/Russian-language speaker; fluent in the English language.
  • Work experience in the bank, financial business, or other financial organization (settlement accounts, Visa, Mastercard).
  • Experience of working in treasury is welcomed.
  • CFA qualification is welcomed.
  • Expert in international auditing and financial reporting standards.
  • Understanding cryptocurrency-related matters (transfers and other operations) is preferred.
  • Possess organizational management skills and ability to grasp business risks.
  • Thorough understanding of financial management, regulatory compliance, board reporting, as well as demonstrable commercial and business acumen.
  • Solid business understanding of the entire suite of banking products including digital financial services.
  • Able to make sound decisions and to provide effective advice to others in areas of financial expertise and audit coverage.
  • Effective analytical skills and critical thinking to understand processes, controls and risks of areas covered, identify root causes of issues, and recommend practical solutions.
  • Experience in team management, supervision, leadership performance management.
  • Team player and ability to work within diverse teams in diverse cultural environments.
  • Strong interpersonal, negotiating, and problem-solving skills.
Job Type: Full-time Salary: AED22,000.00 - AED36,000.00 per month Language:
  • Ukrainian (Required)
  • English (Required)

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Job Detail

  • Job Id
    JD1651850
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Dubai, United Arab Emirates
  • Education
    Not mentioned