Job Title Financial Manager
Languages - Very good command of English language
Country Egypt
Job Category Accounting, Finance, Hospital
Job Type Full Time
Description 1. Minimize the Companys financial risk through monitoring market behaviors, economical status, foreign currencies, consuming local raw materials and import and export vs. costs 2. Monitor cash flow management, controlling cash collection activities and conduct forecasts for cash inflows for early business predictions 3. Prepare the financial policies and procedures and ensuring that they are implemented and all the Companys operations are complying 4. Ensure the best utilization of the Companys financial resources 5. Prepare the Companys annual budget and rolling forecast on monthly basis and communicate it to Top Management 6. Prepare the documentation cycle for all the Companys operations and coordinating with ERP service providers for implementation 7. Manage the Companys treasury and supervise the daily financial operations 8. Prepare the annual cash flow projections and plan for bank facilities if deficiencies were found to secure the Companys business and operations 9. Work on eliminating or minimizing any non-value added costs to increase the Companys financial efficiency 10. Responsible for the implementation and maintaining the Companys ERP system and coordinating with the IS and service providers for any troubleshooting or development required 11. Coordinate with external auditors during the audit seasons and provide assistance to facilitate their mission and achieve the desirable and accurate results
Qualifications - Extensive awareness of warehousing and documentation cycles - Knowledge in internal audit systems, costing processes
Gender Any
Education major Accounting
Experience 10-15 Years.
Other Skills - Computer Skills: MS Office, internal e-mail software
Salary (L.E.) Negotiable
Job Contact Info. info.hr@mcsoil.com
Languages - Very good command of English language
Country Egypt
Job Category Accounting, Finance, Hospital
Job Type Full Time
Description 1. Minimize the Companys financial risk through monitoring market behaviors, economical status, foreign currencies, consuming local raw materials and import and export vs. costs 2. Monitor cash flow management, controlling cash collection activities and conduct forecasts for cash inflows for early business predictions 3. Prepare the financial policies and procedures and ensuring that they are implemented and all the Companys operations are complying 4. Ensure the best utilization of the Companys financial resources 5. Prepare the Companys annual budget and rolling forecast on monthly basis and communicate it to Top Management 6. Prepare the documentation cycle for all the Companys operations and coordinating with ERP service providers for implementation 7. Manage the Companys treasury and supervise the daily financial operations 8. Prepare the annual cash flow projections and plan for bank facilities if deficiencies were found to secure the Companys business and operations 9. Work on eliminating or minimizing any non-value added costs to increase the Companys financial efficiency 10. Responsible for the implementation and maintaining the Companys ERP system and coordinating with the IS and service providers for any troubleshooting or development required 11. Coordinate with external auditors during the audit seasons and provide assistance to facilitate their mission and achieve the desirable and accurate results
Qualifications - Extensive awareness of warehousing and documentation cycles - Knowledge in internal audit systems, costing processes
Gender Any
Education major Accounting
Experience 10-15 Years.
Other Skills - Computer Skills: MS Office, internal e-mail software
Salary (L.E.) Negotiable
Job Contact Info. info.hr@mcsoil.com