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Contract TypeContract TypeFull-time
Workplace typeWorkplace typeOn-site
LocationLocationJeddah
About the Role
Join Red Sea Global, a visionary developer contributing to the Kingdom's Vision 2030. As a Finance Manager, you will lead the finance operations team, ensuring accurate financial transactions and treasury operations as well as managing payroll across the Group.

Key Responsibilities:
  • Manage booking and recording of all financial transactions in accordance with budgetary guidelines and IFRS.
  • Oversee treasury operations including payables, collections, and cash management.
  • Conduct monthly cash flow planning and forecasting.
  • Develop and optimize funding strategies in collaboration with the CFO.
  • Ensure compliance with KSA fiscal reporting and regulatory requirements.
  • Lead and develop the Accounting team.
  • Assist in payroll and employee expense reviews.
  • Support the implementation of SAP and other integrations within the finance sector.

Qualifications:
To be successful in this role, you must have:
  • A qualified accountant from an IFAC accredited institution.
  • Minimum 10 years in finance leadership within a multinational environment.
  • Experience in Accounting, Reporting, and Treasury management.

Skills:
  • Excellent data and analytical skills.
  • Strong presentation and communication abilities.
  • Ability to manage multiple priorities while maintaining an overview of the big picture.
  • Organizational capabilities with a proactive approach.

Requirements

  • No experience required

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Domo Ventures W.L.L.

SR 7,000 / Month dotFull-time
Join Our Team as a Finance Manager!

At Domo Ventures ***, a leading producer and distributor of eco-friendly packaging solutions, we are looking for a skilled Finance Manager to become part of our dynamic team in Jeddah. This role is critical in driving strategic financial decision-making across our organization.

Job Summary:
As the Finance Manager, you will evaluate financial information and conduct strategic analyses and reporting, encompassing profit & loss, balance sheet, cash flow, pricing, and more. Your primary goal will be to influence decision-making within the company while spearheading cross-business initiatives.

Responsibilities:
  • Oversee cash flow planning and management to ensure liquidity, implementing strategies to optimize working capital.
  • Collaborate with business units to develop annual budgets and report on performance to identify areas for improvement.
  • Review monthly bank reconciliations and prevent and detect accounting errors on a timely basis.
  • Monitor receivables for timely cash collection and payables for supplier payments.
  • Control the accounting cycle and record all transactions accurately.
  • Produce timely financial and management reports as required by management.
  • Review monthly financial reports and ensure compliance with financial laws and regulations.

Skills:
  • Exceptional drive and personal initiative.
  • Highly analytical mindset.
  • Excellent interpersonal and communication skills.
  • Strong organizational skills, capable of multitasking across multiple projects.
  • Proficient in financial modeling and analysis tools.

Qualifications:
Bachelor's degree in finance, accounting, business, or a related field.

breifcase0-1 years

locationJeddah

27 days ago