Key Responsibilities:
- Day-to-Day Financial Management: Oversee and manage the day-to-day accounting functions, including general ledger, accounts payable, accounts receivable, and month-end close processes.
- Audit and Tax Compliance: Ensure compliance with local and international accounting standards. Manage internal and external audits and tax filings. Oversee corporate tax obligations and liaise with external auditors and tax authorities.
- Corporate and Transfer Pricing: Ensure proper transfer pricing policies and procedures are in place and comply with global regulations. Oversee and manage corporate tax filings and transfer pricing reports.
- Banking Relations: Manage banking relationships, including negotiating credit facilities, managing liquidity, and overseeing banking transactions.
- Financial Reporting: Prepare and present monthly, quarterly, and annual financial reports, including financial statements, budget variance analysis, and forecasts.
- Strategic Advice: Provide financial advice to senior management on financial planning, budgeting, and operational performance.
- Risk Management: Identify financial risks and implement appropriate strategies to mitigate them.
Key Requirements:
- Experience: 8-10 years of experience in finance, with a strong background in auditing, tax, corporate tax, transfer pricing, and banking relations.
*ONLY CANDIDATES FROM DRY BULK TRADING FIRMS WILL BE CONSIDERED*