Finance Manager
الوصف الوظيفي
About Maven Insights
Maven Insights is a premier management consulting firm renowned for delivering exceptional value to large organizations spanning 11 diverse sectors. Our multidisciplinary team combines deep academic expertise, industry insights, and hands-on consultancy experience in Business Transformation, Commercial Excellence, Customer Experience (CX), Employee Experience (EX), and Mergers and Acquisitions. We collaborate with a prestigious network of clients and partners across the EMEA region, driving impactful solutions that redefine industry standards. Our core values—bold innovation, unwavering client and team dedication, clarity of purpose, collaborative success, and joy in the journey—shape every project and define our culture of excellence.
Position Overview
We are seeking a dynamic and strategic Finance Manager to join our leadership team. In this pivotal role, you will serve as the primary financial steward, overseeing treasury operations, financial planning, regulatory compliance, and corporate governance. Your responsibilities will encompass liquidity management, banking relationships, budgetary oversight, profitability analysis, IFRS adherence, and financial controls—all while driving sustainable growth and operational efficiency. As a trusted advisor to executive leadership, you will deliver data-driven financial insights, optimize working capital, and ensure the organization’s long-term financial resilience and regulatory integrity.
Key Responsibilities
- Treasury & Liquidity Management: Lead cash flow forecasting, liquidity monitoring, and working capital optimization to ensure financial stability and operational agility.
- Banking & Financing: Manage corporate banking relationships, financing facilities, guarantees, bonds, and other treasury-related obligations to secure favorable terms and mitigate risks.
- Financial Reporting & Analysis: Prepare and present monthly management accounts, P&L statements, profitability analyses, financial models, and performance reviews to support strategic decision-making.
- Financial Close & Compliance: Oversee monthly and year-end financial close processes, ensuring strict adherence to IFRS standards and robust internal controls.
- Audit & Statutory Reporting: Lead external audits, statutory financial reporting, and IFRS compliance initiatives to maintain transparency and regulatory compliance.
- Tax & Regulatory Management: Direct tax compliance activities, including VAT, Withholding Tax (WHT), Corporate Income Tax, Transfer Pricing, and regulatory filings to mitigate tax risks and optimize liabilities.
- Budgeting & Forecasting: Drive the annual budgeting process, financial planning, and scenario analysis to align resources with organizational objectives and market dynamics.
- Intercompany & Group Reporting: Oversee intercompany accounting, transfer pricing compliance, and consolidated group reporting to ensure accuracy and regulatory alignment across entities.
- ERP & Process Optimization: Lead ERP governance, process improvements, automation initiatives, and finance transformation projects to enhance efficiency and scalability.
- Corporate Governance & Restructuring: Support corporate governance frameworks, legal entity management, restructuring activities, and regulatory compliance to safeguard organizational integrity.
- Financial Controls & Incentives: Manage financial controls, corporate credit card policies, incentive schemes, and compensation-related financial planning to align financial performance with business goals.
- Strategic Partnership: Collaborate with senior management to provide actionable financial insights, guide strategic initiatives, and foster sustainable business growth.
Qualifications & Experience
- Bachelor’s degree in Finance, Accounting, or a related field from an accredited institution.
- Minimum of 10 years of progressive experience in finance, accounting, treasury, and financial planning roles, with a proven track record in strategic financial leadership.
- In-depth knowledge of IFRS, financial reporting frameworks, taxation regulations, and compliance requirements in the Kingdom of Saudi Arabia (KSA).
- Hands-on experience in budgeting, forecasting, cash flow management, and financial modeling, with a keen eye for detail and accuracy.
- Proficiency in enterprise resource planning (ERP) systems and advanced Excel/financial reporting tools, coupled with strong analytical and problem-solving skills.
- Exceptional stakeholder management and business partnering abilities, with the capacity to engage effectively at senior management levels.
What We Offer
Joining Maven Insights means becoming part of a forward-thinking organization where your contributions directly shape the success of industry-leading enterprises. As a valued member of our team, you will:
- Engage with high-impact consulting projects that challenge conventional thinking and drive transformative business outcomes.
- Benefit from exposure to cutting-edge methodologies and best practices in business transformation, commercial excellence, and M&A advisory.
- Collaborate with a diverse, globally minded team that values innovation, inclusivity, and fresh perspectives.
- Accelerate your professional development through international exposure, mentorship, and continuous learning opportunities.
- Enjoy a flexible, results-driven work environment that balances professional demands with personal well-being, fostering both career growth and work-life harmony.
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