Responsibilities:
Review cash forecast;
Liaising with external auditors;
Budgeting and Forecasting within complex business structure is essential;
Tracking of area KPIs as purchase order development, revenue, accounts receivable, margin and profitability;
Ensure the balance sheets are a fair reflection of the assets and liabilities of the business
Improve the company's accounting process and establish internal controls;
Produce the statutory financial statement and revise all reports related to accounting, statistics to local authorities;
Perform risk management by analyzing the organization's liabilities and investments;
Cash flow reviews and working capital reporting;
Coordinate with other department as a partner in term of accounting;
reporting;
Review internal control system and provide workable solution for accounts and admin departments operation;
Review and understand all project budgets;
Managing internal controls, and proposing improvements to the organizations internal control. Background: Min 2 years accounting / finance working experience in hospitals and or clinics
Deep Experience in closing financial reports (balance sheet, cash flow, P&L;
Negotiation skills and the ability to develop strong working relationships;
Accomplished successful Audits
Financial management experience;
Fast to adapt to new technologies, and possess a tech-forward mindset;
Dedication to work with positive attitude
Knowledgeable using Vlookup, Sumifs, PIVOT,VBA;
Financial Statement Analysis;
Good English and computer skills;
Can work under pressure and meet required deadlines;
Proficient in QuickBooks, yet comfortable working with manual accounting system;
Organizing, planning skills and the ability to prioritize and take right financial decisions Job Type: Full-time Experience:
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