TalentAQ

TalentAQ

Head of Finance

FinanceFull Time8-10 yearsIslamabad capital territory

Required Skills
25 skills

Financial Strategies
Cash Flow Management
Financial Planning
Budgeting
Forecasting
Cost Control
Financial Reporting
Audits
Financial Models
IFRS
Internal Controls
Tax Regulations
VAT
Corporate Tax
Accounts Payable
Accounts Receivable
Pricing Strategies
Excel
Financial Modeling
Leadership
Analytical Skills
Communication Skills
ERP
QuickBooks
Inventory Management

Job Description

Develop and execute financial strategies that align with business growth objectives and cash flow management Lead long-term financial planning, including budgeting, forecasting and cost control measures Manage financial reporting, including monthly/quarterly closing and audits Develop financial models and projections for management & investors Provide investors and senior management with scenario analysis insights to support strategic decision-making, including annual and long-term budgeting Ensure accurate and timely financial reporting, including income statements, balance sheets, and cash flow statement, in compliance with IFRS Coordinate and oversee internal audits to ensure compliance with financial policies, internal controls, and regulatory requirements Oversee regulatory financial reporting to the FBR and other relevant authorities, ensuring compliance Oversee payroll to ensure employees are paid accurately, while ensuring compliance with tax and company policies Coordinate with bank officials and the legal team Ensure adherence to tax regulations, including VAT and corporate tax findings, and manage financial risk exposure Maintain a robust system of accounts, ensuring accuracy and timely resolution of discrepancies Assess the financial viability and return on investment (ROI) of products and services Oversee accounts payable to receivable to maintain financial health and efficiency Evaluate pricing strategies, cost structures, and revenue streams with sales and procurement department to maximize financial efficiency and work out pricing plans for products Implement and uphold strong internal controls and processes to reduce financial risks and ensure full regulatory compliance Perform other tasks and responsibilities as assigned by the management
Develop and execute financial strategies that align with business growth objectives and cash flow management Lead long-term financial planning, including budgeting, forecasting and cost control measures Manage financial reporting, including monthly/quarterly closing and audits Develop financial models and projections for management & investors Provide investors and senior management with scenario analysis insights to support strategic decision-making, including annual and long-term budgeting Ensure accurate and timely financial reporting, including income statements, balance sheets, and cash flow statement, in compliance with IFRS Coordinate and oversee internal audits to ensure compliance with financial policies, internal controls, and regulatory requirements Oversee regulatory financial reporting to the FBR and other relevant authorities, ensuring compliance Oversee payroll to ensure employees are paid accurately, while ensuring compliance with tax and company policies Coordinate with bank officials and the legal team Ensure adherence to tax regulations, including VAT and corporate tax findings, and manage financial risk exposure Maintain a robust system of accounts, ensuring accuracy and timely resolution of discrepancies Assess the financial viability and return on investment (ROI) of products and services Oversee accounts payable to receivable to maintain financial health and efficiency Evaluate pricing strategies, cost structures, and revenue streams with sales and procurement department to maximize financial efficiency and work out pricing plans for products Implement and uphold strong internal controls and processes to reduce financial risks and ensure full regulatory compliance Perform other tasks and responsibilities as assigned by the management

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