• Participate in the ongoing strategic planning & decision making process by providing sufficient reliable financial information & analysis as necessary, to enable BOD to make sound decisions related to existing operations as well as new investments in order to achieve required ROI.
• Prepare monthly financial and non-financial performance indicators reports (KPIs)
• Prepare, interpret, and present the financial reports in the board of directors meetings
• Regular conduction of risk assessment for areas exposed for potential unsystematic risk
• Monitoring on-going performance, tracking achievements and highlighting variances, advice on preventive measures, corrective actions and reinforcements as required.
• Ensured that strong internal control systems in place including strong control environment, good control procedure, good Information system, good risk assessment and conduct, and managed credit risk (CRM)
• Managing the entire corporate credit and collection, corporate insurance policies and controlling exposure.
• Ensuring full safeguarding of company’s assets against potential risk exposure.
• Manage treasury functions including hedge, matching, netting, and forward contracts
• Managed the internal audit functions including preparing risk assessment reports, and annual reports
• Managing the expansion in new projects and acquisitions, Identify and implement cost savings initiatives relating to financial charges and interest on borrowings and credit facilities
• Managed projects starting from feasibility study, RFP, tender, engagement contract, stages of execution, till the handover
• Monthly conduction for decision support analysis such Sensitivity Analysis, Buy or Lease analysis, Equity Finance, long term Short Term finance, Make or Buy analysis, and Subcontract proposals analysis
• Prepare cost analysis and pricing for items manufactured, and participate in tenders pricing
• Prepare company’s Accounting & finance’s policies & procedures and forms adhere and compliance with local government laws, regulations, Qatar Exchange, GAAP, and IFRS
• prepare financial planning & feasibility studies for new projects, CAPEX and OPEX
• Manage the preparation of quarterly, semi-annual, and annual financial reports & statements
• Manage the transition to ERP system which meet the company needs of expansions and control,
• Managing the working capital including the cash flow, securing the funds with the currencies needed for current operations, expansion, and new projects,
• Create control system to ensure safeguard and best utilization of the company’s Fixed Asset.
• coordinate with the internal audit & department head for preparing risk assessment, and clearing risk points
• Drive the annual business planning and budgeting process, ensuring that budgets and targets are realistic, stretched and reflect actual business potentials.
• Prepare consolidated master budget, variance analysis between actual and budgeted revenue / expenditure, overseen and control operational budgets
• Prepare and submit financial reports to Qatar Exchange, and responded to the investors inquires
• Prepare published accounts, interpret, and present the financial statements in the board of directors meetings, and Key contact person for the stock market authority, and investors
• Ensure audits are completed in time and statutory book closing occur oversight of all accounting and business operations, and prepare Ad-hoc reporting for the board and senior management
• Administer banking arrangements, capital contracts till the final signature and authenticate
• Ensure that all contracts are negotiated with the best possible terms, assets are controlled and all exposures are insured and that funds are effectively managed as per company directives.
• Manage cash flow, working capital, and negotiate financial facilities such DCs, LCs, LGs, OD, and loans for financing working capital, expansion plans, and new projects
- Company industry:
- Industrial Production
- Job role:
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Accounting and Auditing