Finance Managers- CA Qualified- Financial Reporting & Stat Audits- Audit- B at athGADLANG
Dubai, دبي, United Arab Emirates -
Full Time


Start Date

Immediate

Expiry Date

23 May, 25

Salary

0.0

Posted On

19 Apr, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Leadership, Accounting Standards, Tax Planning, Financial Statements, Cash Flow Management, Financial Analysis, Accountants, Financial Modeling, Investments, Internal Controls, Forecasting, Auditing, Capital Structure, Corporate Finance, Budgeting, Data Analysis

Industry

Financial Services

Description

A Finance Manager who is CA-qualified (Chartered Accountant) typically holds a high level of expertise in accounting, finance, and financial management. The CA qualification is globally recognized and respected, and it provides professionals with a deep understanding of financial principles, tax laws, auditing, and business strategy.

Key Skills and Responsibilities of a CA-Qualified Finance Manager:

  • Financial Reporting and Analysis:
  • Oversee preparation of financial statements, ensuring they are accurate and comply with accounting standards.
  • Conduct financial analysis to provide insights into business performance, profitability, and financial health.
  • Budgeting and Forecasting:
  • Develop and manage budgets for departments and projects, ensuring that financial resources are allocated efficiently.
  • Prepare financial forecasts to help in planning for future growth and capital needs.
  • Risk Management:
  • Identify financial risks and implement strategies to mitigate them, such as hedging, insurance, or internal controls.
  • Internal Controls and Compliance:
  • Ensure that internal financial controls are robust and that the company complies with local tax laws and international regulations (e.g., IFRS, GAAP).
  • Oversee audits, both internal and external, and manage relationships with auditors.
  • Cash Flow Management:
  • Manage the company’s cash flow to ensure sufficient liquidity for operational needs.
  • Optimize working capital and manage cash reserves.
  • Taxation:
  • Ensure compliance with tax regulations and manage the company’s tax strategy, including tax planning and optimization.
  • Prepare tax returns and work with tax consultants for strategic tax planning.
  • Financial Strategy and Planning:
  • Collaborate with senior management to develop the company’s long-term financial strategy.
  • Contribute to decision-making around investments, acquisitions, and capital structure.
  • Leadership and Team Management:
  • Lead and mentor a team of accountants, analysts, and other finance professionals.
  • Ensure team members stay up-to-date on financial regulations and accounting standards.

Qualifications and Experience:

  • CA Qualification (Chartered Accountant), which involves completing rigorous exams and practical experience in accounting, auditing, taxation, and finance.
  • Strong knowledge of financial software and ERP systems (e.g., SAP, Oracle, QuickBooks).
  • Typically 5-10 years of experience in financial roles, with at least 3-5 years in a managerial position.
  • Strong understanding of corporate finance, financial modeling, and data analysis.

Job Type: Full-tim

Responsibilities
  • Financial Reporting and Analysis:
  • Oversee preparation of financial statements, ensuring they are accurate and comply with accounting standards.
  • Conduct financial analysis to provide insights into business performance, profitability, and financial health.
  • Budgeting and Forecasting:
  • Develop and manage budgets for departments and projects, ensuring that financial resources are allocated efficiently.
  • Prepare financial forecasts to help in planning for future growth and capital needs.
  • Risk Management:
  • Identify financial risks and implement strategies to mitigate them, such as hedging, insurance, or internal controls.
  • Internal Controls and Compliance:
  • Ensure that internal financial controls are robust and that the company complies with local tax laws and international regulations (e.g., IFRS, GAAP).
  • Oversee audits, both internal and external, and manage relationships with auditors.
  • Cash Flow Management:
  • Manage the company’s cash flow to ensure sufficient liquidity for operational needs.
  • Optimize working capital and manage cash reserves.
  • Taxation:
  • Ensure compliance with tax regulations and manage the company’s tax strategy, including tax planning and optimization.
  • Prepare tax returns and work with tax consultants for strategic tax planning.
  • Financial Strategy and Planning:
  • Collaborate with senior management to develop the company’s long-term financial strategy.
  • Contribute to decision-making around investments, acquisitions, and capital structure.
  • Leadership and Team Management:
  • Lead and mentor a team of accountants, analysts, and other finance professionals.
  • Ensure team members stay up-to-date on financial regulations and accounting standards
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