تفاصيل العمل

I Work as a Finance manager since 01/11/2011 until now

•Preparation of the financial budget for the company in line with requirements

•Cash Flow from operating (Cash Inflows -Cash Outflows - use of cash) and cash flow activities and cash flow from finance and supply the GAPP and how to manage that

•Working in coordination with a group of banks for Bank Facilities.

•Functional Responsibilities financial analysis modeling company budgeting for cost control and monitoring deviation from the approved financial plan

• Ensure effective implementation and enforcement of the approved budget; monitor and report on budget variance and identify key issues and potential corrective action.

•Provide key financial information within established timelines to the CFO in areas such as operating results, and budget versus actual, and report any issues with respect to planning and budgeting to the CFO

•Provide financial and commercial analysis for business development opportunities and other ad hoc projects, to support the company’s decision-making processes.

• Contribute to the annual and quarterly objective-setting process for business, and how the company measures its achievement level for these objectives.

•Contribute to the annual and quarterly objective-setting process for the business and how the company measures its achievement level for these objectives