CFO - PPP
Job description
Financial Management & Reporting:- Oversee the preparation of IFRS solo reports on a monthly and quarterly basis.
- Ensure timely and accurate financial reporting to shareholders, lenders, and authorities.
- Manage cash flow projections, optimize inter-company cash management, and maximize interest income.
Budgeting & Forecasting:- Prepare and update long-term business plans and budgets.
- Perform sensitivity analyses and track investment impacts.
Tax & Compliance:- Handle tax calculations and payments for all group companies.
- Ensure compliance with relevant tax legislation for new projects.
Treasury Management:- Manage the company's treasury operations to ensure optimal liquidity.
- Oversee debt management and funding strategies, minimizing financial risks.
- Maintain relationships with banks and financial institutions to secure favorable terms.
- Monitor and manage foreign exchange exposure and interest rate risks.
Operational Efficiency:- Manage the supply chain to ensure efficient procurement and storage.
- Maintain the fixed asset registry and ensure accurate accounting entries and period closings.
Team Leadership:- Provide guidance and feedback to support the professional development of finance team members.
Candidate Requirements:
- PPP / Project Financing: Proven track record in leading finance functions within complex project financing or PPP environments.
- Languages: Bilingual in Arabic and English preferred.
- Knowledge: Strong understanding of Saudi compliance, including Zakat regulations.
- Negotiation Skills: Demonstrated success in negotiations with banks and other key stakeholders.
Confidential Application Process:
All applications will be treated with utmost confidentiality.