We are a dynamic and expanding company with a focus on innovative investment strategies and financial growth. Our mission is to maintain financial efficiency in managing investments and operations while adhering to Federal Tax Authority rules and regulations. We are seeking an experienced, detail-oriented Financial Analyst/Finance Manager/Chief Accountant to oversee investments, generate financial reports, and offer strategic insights to drive future financial decisions.
Key Responsibilities:
Oversee and monitor all financial activities related to company investments, ensuring accurate transaction recording.
Prepare financial reports, including balance sheets, income statements, cash flow projections, and financial statements.
Analyze investment portfolio performance and provide regular profitability and ROI updates.
Investment Analysis: Evaluate and recommend investment opportunities based on financial forecasts, market trends, and risk assessments.
Conduct due diligence on potential investments, reviewing pitch decks, financial statements, and related documents.
Assist in preparing investment proposals and assess long-term profitability and risk.
Compliance & Taxation: Ensure compliance with Federal Tax Authority regulations, managing VAT filings, corporate taxes, and AML requirements.
Coordinate with external auditors and tax advisors to meet regulatory requirements.
Ensure compliance for import/export transactions.
Manage all accounting functions, maintaining accurate financial records.
Reconcile financial statements monthly, ensuring compliance with financial regulations.
Stay up-to-date with accounting standards, federal regulations, and industry best practices.
Manage timely financial audits and banking relationships.
Strategic Financial Planning: Provide strategic financial advice on investments, budgets, and growth plans.
Develop forecasts and budgets aligned with the company’s financial objectives.
Analyze financial data to identify cost-saving opportunities.
Monitor financial risks related to investments, recommending mitigation strategies.
Review contracts, pitch decks, and agreements to protect the company’s interests.
Qualifications:
Education: Bachelor’s degree in Finance, Accounting, Economics, or related fields. Professional certifications such as CA, CPA, CFA, ACCA, and CMA are preferred.
Experience: 7-10 years of post-qualification experience in accounting, financial analysis, investment monitoring, and compliance, ideally in sectors like manufacturing, trading, real estate, or import/export.
Skills:
Proficiency in financial modeling, forecasting, and analysis.
Strong knowledge of accounting software and financial tools (e.g., QuickBooks, ERP, Zoho, Tally, Excel, Power BI).
Deep understanding of financial documents such as balance sheets, cash flow statements, and pitch decks.
Familiarity with Federal Tax Authority regulations, including VAT, corporate taxes, and compliance.
Excellent communication skills for financial reporting and presentations.
High attention to detail and accuracy in financial reporting and compliance.
Desired Candidate Profile:
Strategic thinker who can assess the financial implications of business decisions.
Self-motivated and able to work independently with strong task prioritization skills.
Analytical mindset capable of offering data-driven financial recommendations.
Problem solver who quickly identifies financial risks and growth opportunities.