Responsibilities
- Prepare and supervise the preparation of monthly, quarterly and annual financial statements, ensuring accuracy and compliance with accounting standards.
- Conduct variance analysis to compare actual performance to budget, identify key variances, and present findings to senior management.
- Lead, monitor and coach the accounting and finance team to enhance skill development and performance
- Conduct profitability analysis for products and business segments to provide insights to guide strategic decision making.
- Monitor and control administrative spending and operating costs to align with budgeted financial targets.
- Analyze cost variances and collaborate with department heads to optimize effective resource allocation.
- Develop, implement and manage the annual budget process in coordination with various departments.
- Provide detailed financial forecasts and projections to support business planning and strategy.
- Ensure compliance with tax and financial regulations in both Egypt and Saudi Arabia, and stay up to date with relevant compliance requirements.
- Communicate with external auditors to maintain audit readiness and regulatory compliance.
- Oversee daily revenue tracking, ensuring accurate reconciliation of accounts and bank balances and compliance with financial policies.
- Support the accounting team in maintaining accuracy in reporting daily revenues and financial transactions .
Qualification and Requirement 5 to 10 years of experience in banking Experience in group accounting and consolidated financial statements.Experience in ERP systemsAdvanced skills in using MS Excel and accounting software are required Strong data analysis and reporting skills.Fluency in spoken and written English