إنتهت صلاحية هذا الإعلان الوظيفي لقد إنتهت صلاحية هذا الإعلان الوظيفي و هو غير مفتوح حاليا لأي طلبات عمل.
إرفاق
وصف الوظيفة
- Coordinate a master cash in/ cash out plan with finance, operation and procurement teams.
- Follow up cost control processing to optimize the cash out and report budget issues.
- Update the budget, margin &invoices and compare them with the base line.
- Prepare monthly analytical reports for the budget variances, costs, revenues, sales and achievements.
- Review and ensure that all projects financial documents are correct respect to the customer P.O.
- Issue a monthly report including the actual results compared with the target per MU/Sector… etc.
- Review the projects documentation specially the P&L calculation in the company’s system and ERP.
- Prepare and update cash in/out for all projects on monthly bases.
- Keep track of external suppliers’ payments.
Personal Skills
- Excellent communication, interpersonal skills including time management skills.
- Strong analytical skills, strong work ethic and detail orientated
- Excellent report writing skills
- Risk management experience.
- Ability to create and give presentations to executive management.
- Excellent problem-solving skills.
- Excellent command of English.
Technical Skills
• Knowledge and understanding of general Financial, Accounting (GAAP and/or IAS) and Business principles
• Relevant range of financial and accounting knowledge in budgeting, costing, revenues, expenses and taxes.
المؤهلات العلمية
Bachelor's degree in Accounting
تفاصيل الوظيفة
المرشح المفضل
نبذة عن الشركة
GSEC offers complete solutions for Water Utilities, Building Water and Waste Water Treatment Plants, as well as Water Desalination Plants including Pretreatment, Purification and Recycling for domestic, commercial and industrial sectors. Our scope of services also extends to operations and maintenance of these plants.