Financial Manager
company logo Optimal path
| Amman / Jordan

The qualified Financial Manager oversees financial planning, budgeting, and analysis, ensures compliance with regulations, manages financial reporting, and develops strategies to optimize financial performance. He/she leads finance teams, implements internal controls, and communicates financial insights to stakeholders, aligning financial operations with organizational goals and ensuring sound fiscal management.

Location: Amman / Jordan
Address: Amman
Industry: Consultancy
Type: part-time
Work Mode: on-site
Education Level: master
Salary: $1000
Published At: 07 Oct 2024
Personal Skills
1 - Strong problem-solving skills.
2 - Accuracy in financial reporting and analysis.
3 - Thoroughness in compliance and audit activities.
4 - Effective communication of financial information to non-financial stakeholders.
5 - Strong written and verbal communication skills.
6 - Leading and developing finance teams.
7 - Project management and strategic planning.
8 - Integrity in financial practices.
9 - Adherence to ethical standards and codes of conduct.
10 - Making informed and strategic financial decisions.
11 - Ability to prioritize and manage multiple tasks.
12 - Ability to adapt to changing financial landscapes.
13 - Flexibility in managing dynamic business environments.
14 - Efficiently managing workload and meeting deadlines.
15 - Prioritizing tasks in a fast-paced environment.
16 - Working effectively with cross-functional teams.
17 - Building relationships with internal and external stakeholders.
18 - Aligning financial strategies with organizational goals.
19 - Forward-thinking and proactive approach to financial management.
20 - Strong leadership and managerial skills.
21 - Ability to work under pressure and meet deadlines.
22 - Analytical and problem-solving skills.
23 - Attention to detail and accuracy.
24 - Integrity and ethical behavior.
25 - Excellent interpersonal skills for collaborating with colleagues and stakeholders.
Professional Skills
1 - Proficiency in preparing and analyzing financial statements.
2 - Knowledge of GAAP or IFRS.
3 - Proficiency in Budgeting and forecasting.
4 - Cost accounting and variance analysis.
5 - Ratio analysis competency.
6 - Trend analysis and financial modeling.
7 - Knowledge of corporate tax laws and regulations.
8 - Tax planning and compliance.
9 - Internal and external audit processes.
10 - Regulatory compliance and reporting.
11 - Treasury operations and investment strategies.
12 - Financial system implementation and management.
13 - Identifying and mitigating financial risks.
14 - Implementing internal controls.
Software Skills
1 - Proficiency in ERP software (e.g., SAP, Oracle).
2 - Accounting software (e.g., QuickBooks, Xero).
3 - Advanced Excel skills (e.g., pivot tables, macros).
4 - Financial analysis tools (e.g., Tableau, Power BI).
Certifications
1 - Certified Public Accountant (CPA) OR Certified Management Accountant (CMA)
2 -
3 - CFA: Chartered Financial Analyst
4 - CIA: Certified Internal Auditor
5 - CA: Chartered Accountant
6 - CGMA: Chartered Global Management Accountant
7 - CISA: Certified Information Systems Auditor
8 - CTP: Certified Treasury Professional
9 - FRM: Financial Risk Manager
10 - CFP: Certified Financial Planner
11 - CAIA: Chartered Alternative Investment Analyst
12 - FMVA: Financial Modeling & Valuation Analyst
13 - CFE: Certified Fraud Examiner
14 - CGFM: Certified Government Financial Manager
15 - CIMA: Chartered Institute of Management Accountants
16 - CIIA: Certified International Investment Analyst
17 - ACA: Associate Chartered Accountant
18 - ACCA: Association of Chartered Certified Accountants

Courses

1 - Financial Accounting and Reporting:
2 - Budgeting and Forecasting
3 - Cost Accounting and Analysis
4 - Taxation:
5 - Auditing
6 - Financial Analysis and Modeling
7 - Treasury and Investment:
8 - Regulatory Compliance
9 - Software Proficiency:
10 - Risk Management
11 - Leadership and Management
12 - Communication and Interpersonal Skills
13 - Project Management

Responsibilities

1 - Prepare financial statements (income statement, balance sheet, cash flow statement).
2 - Analyze financial data to provide insights and forecasts.
3 - Ensure compliance with accounting standards and regulations.
4 - Develop annual budgets in collaboration with other departments.
5 - Monitor budget performance and variance analysis.
6 - Forecast financial trends and outcomes.
7 - Manage cash flow and liquidity to meet operational needs.
8 - Optimize cash flow through effective treasury management.
9 - Develop financial plans aligned with organizational goals.
10 - Provide strategic financial advice to senior management.
11 - Ensure compliance with tax regulations and filings.
12 - Optimize tax strategies to minimize tax liabilities.
13 - Coordinate and facilitate external audits.
14 - Implement audit recommendations and ensure corrective actions.
15 - Supervise accounting and finance teams.
16 - Foster a culture of continuous improvement and professional development.
17 - Oversee financial systems and software implementation.
18 - Ensure systems integration and efficiency.
19 - Communicate financial results and strategies to stakeholders.
20 - Collaborate with investors, banks, and other financial institutions.
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