Regional CFO-Riyadh-KSA at Segula Technologies
Riyadh, Riyadh Region, Saudi Arabia -
Full Time


Start Date

Immediate

Expiry Date

16 Jul, 26

Salary

0.0

Posted On

17 Apr, 26

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Planning, Accounting, Controlling, Cash Management, Tax Compliance, Strategic Decision-making, Budgeting, Financial Reporting, Project Profitability, Corporate Law, Excel, ERP Systems, Team Leadership, Business Partnering, Risk Management, Audit Coordination

Industry

Engineering Services

Description
Company Description Do you want to shape the world of tomorrow and work on innovative projects? Then you're a good fit for us! We are a global engineering group with 15,000 employees and 140 locations worldwide. With our services, we are driving the topics of energy efficiency, climate protection and decarbonization and developing tech industries into new dimensions. The world of SEGULA Technologies Experts revolves around industries such as automotive, software, energy and life sciences. As an independent player, we support OEMs and suppliers with personal engineering services. Take advantage of new opportunities and take on exciting tasks and attractive positions with direct customer assignment. Job Description Job Title: Regional CFO Location: Riyadh, Saudi Arabia Employment Type: Full-time Job Description The Regional CFO will be responsible for overseeing the financial planning, accounting, controlling, cash management, and administrative finance activities of the regional business. The role will support strategic decision-making and work closely with senior leadership across multiple Middle East entities. This position requires a strong finance leader with multinational exposure, excellent technical finance knowledge, and proven experience managing regional finance operations and teams. Key Responsibilities General Accounting Oversee general accounting activities through to balance sheet and tax return preparation Ensure accurate monthly, quarterly, and annual closing activities in line with internal group standards Validate closing entries including work in progress, accrued payables, and unbilled invoices Ensure the reliability and justification of all closing entries Manage banking relationships and ensure compliance with group banking conditions Monitor the issuance and restitution cycle of bank guarantees Oversee tax returns and ensure correct application of country-specific tax regulations Manage tax audits and coordinate with external advisors Prepare business plans related to investments and fixed assets Act as key interface with internal and external auditors Ensure implementation of internal control procedures related to accounting Cost Accounting & Controlling Contribute to the preparation of quantitative and qualitative budgets Support improvement of management and reporting tools Prepare dashboards, closing statements, and monthly financial reporting with business leadership Participate in the preparation of the general expenses budget Monitor budget evolution in coordination with management control Follow project profitability, general expenses, and company net margin together with the Finance Controller Cash Flow & Collection Monitor receivables and account status Lead collection activities with internal stakeholders and external service providers Manage cash flow, forecasts, and internal/external financing arrangements Administration & Legal Support preparation of AGMs and Board of Directors documentation in coordination with Legal Participate in drafting management reports and account review documents Support resolution of day-to-day administrative and legal-finance matters Qualifications Master’s degree in Finance, Accounting, or related field Qualified CA preferred Minimum 15 to 20 years of experience in accounting, finance, and controlling Proven experience within a multinational environment Prior experience in team management is essential Skills Strong knowledge of corporate law, tax law, business law, and labor law relevant to the operating territory Strong command of Excel, including pivot tables and macros Experience with ERP systems and accounting/consolidation tools Strong communication skills in a multicultural environment Ability to lead, develop, and influence teams Proactive mindset with strong business partnering capabilities Additional Information Additional Information Regional role based in Riyadh Exposure across multiple Middle East entities Strategic leadership role with direct impact on regional business performance Please note that only shortlisted candidates will be contacted Contract/country: Unlimited Job family: Finance
Responsibilities
The Regional CFO will oversee financial planning, accounting, controlling, and cash management activities across Middle East entities. This role involves supporting strategic decision-making and ensuring compliance with group standards and local tax regulations.
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