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Finance Manager

Lalamove

Riyadh

On-site

SAR 60,000 - 100,000

Full time

Yesterday
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Job summary

An innovative company is expanding its operations in Saudi Arabia and seeks a Finance Manager to oversee daily financial operations. In this pivotal role, you will manage accounts receivable and payable processes, liaise with external parties, and ensure compliance with local taxation regulations. You will play a crucial role in preparing financial forecasts, budgets, and cash flow reports, contributing to the company's strategic financial planning. If you have a strong background in finance, excellent communication skills, and a passion for driving financial success, this is the opportunity for you to make a significant impact.

Qualifications

  • 5+ years of finance experience with 1 year in a managerial role.
  • Strong understanding of local taxation regulations.

Responsibilities

  • Manage daily operations of the Finance and Accounting Department.
  • Prepare financial forecasts, budgets, and cash flow reports.

Skills

Finance Management
Accounts Receivable
Accounts Payable
Financial Forecasting
Tax Regulations
Excel Skills
Communication Skills

Education

Bachelor's Degree in Finance or Accounting

Job description

Lalamove is launching its operations in the Kingdom of Saudi Arabia - Riyadh.

What you will do:

  1. Manage the daily operations of the Finance and Accounting Department.
  2. Perform Accounts Receivable and Accounts Payable processes for the KSA operation.
  3. Organize, control, and define proper processes for local invoicing, finance, and collections.
  4. Liaise with external parties including customers, vendors, lawyers, tax, or government authorities.
  5. Support and orient all internal areas regarding financial and business processes.
  6. Manage day-to-day, monthly, and year-end operations of the Finance and Accounting Department.
  7. Coordinate with local payment and invoicing platform providers.
  8. Prepare financial information required by local authorities.
  9. Participate in internal control testing and transactional tax activities.
  10. Contribute to timely and effective communication with stakeholders to identify issues and suggest improvements.
  11. Prepare cash flow reports, financial forecasts, budgets, and analyze actual results.
  12. Conduct financial reviews, budgeting, planning, and investment return analysis at the group level.
  13. Perform month-end reconciliations and analysis, including fixed assets and bank statements.
  14. Support financial leadership with project funding and risk assessment activities.

Knowledge and Skills:

  1. Bachelor's degree or higher in Finance or Accounting.
  2. Fluent in English for effective communication.
  3. At least 5 years of relevant finance experience, including 1 year in a managerial role.
  4. Strong understanding of local taxation regulations and ability to advise.
  5. CPA certification is highly preferred.
  6. Solid tax knowledge and advanced Excel skills.

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