ما به دنبال یک سرپرست حسابداری برای مدیریت امور مالی و حسابداری در شرکتمان هستیم. این نقش شامل نظارت بر فعالیتهای حسابداری و ارائه گزارشهای دقیق به مدیریت است.
شرح شغل:
- مدیریت کلیه فرآیندهای حسابداری از جمله حسابداری مالی و مدیریت بودجه.
- تهیه و تنظیم گزارشهای مالی دقیق و بهموقع برای مدیریت و مراجع قانونی.
- اطمینان از تطابق با الزامات مالی و حسابداری.
- نظارت و هدایت تیم حسابداری و اطمینان از عملکرد کارآمد آنها.
- تجزیه و تحلیل دادههای مالی و ارائه توصیههای کاربردی به مدیریت.
شرایط احراز:
- تجربه کاری در نقشهای مدیریتی حسابداری.
- آشنایی کامل با نرمافزار حسابداری سپیدار و مهارت در گزارشدهی.
- توانایی تحلیل و حل مسائل مالی.
- مهارتهای ارتباطی و مدیریتی قوی.
We seek a dynamic accounting supervisor to collaborate closely with the country controller, providing financial insights and ensuring smooth accounting operations, compliance with local regulations, and efficient treasury processes. This role is critical in maintaining robust governance and supporting strategic decision-making across the organization.
Key Responsibilities:
- Maintain accurate, transparent, and timely financial records and reporting, ensuring alignment with local regulations.
- Oversee and manage all accounting activities, including accounts payable, accounts receivable, and overall financial statement preparation.
- Supervise treasury operations to facilitate seamless fund management and timely payments to international suppliers.
- Develop and monitor strong internal controls, ensuring they are effectively implemented and understood by relevant stakeholders.
- Ensure compliance with tax, audit, and legal requirements while minimizing risks and optimizing the company’s financial structure.
- Advise senior management on tax strategies, including leveraging available tax benefits to minimize liabilities.
- Build and sustain productive relationships with banks, tax authorities, and external auditors.
- Resolve technical accounting challenges and provide expert solutions.
- Lead financial planning processes, identify risks, and implement mitigation strategies while improving operational efficiency.
- Coordinate daily cash collection activities with the National Treasury Center (NTC).
- Collaborate with IT and business improvement teams to streamline processes and modernize financial systems, driving efficiency.
- Establish and refine controls for new financial systems and improve existing procedures.
- Support the Country Controller in applying financial techniques to drive performance and achieve business objectives.
What You’ll Bring to the Role:
- A CPA qualification or a degree in Business Administration, Finance, or Accounting.
- Proven leadership experience in financial controlling, auditing, or functional controlling.
- International experience is a plus.
- Strong command of English (mandatory).
- Analytical thinking, problem-solving skills, and the ability to communicate effectively at all levels.