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- Kateqoriya: Informasiya texnologiyaları
- Şəhər: Bakı
- İş təcrübəsi: 5 ildən çox
- Maaş: Müsahibə əsasında
- İş rejimi: Tam-ştat
- Elan ID: 12443
- E-poçt: [email protected]
- Elanın yerləşdirmə tarixi: 14.04.2025
- Elanın bitmə tarixi: 14.05.2025
Namizədə tələblər
- Experience: 7-10 years (as CFO);
- Languages: Azerbaijani, English, Russian;
- Computer knowledge: MS Office, MS outlook, 1C, ERP indicators/SAP;
- Master's degree in a related field preferred (Finance/Accounting/Auditing/ACCA/IFRS);
- Preferred knowledge and qualifications: Finance, Economics, Industry knowledge, etc;
- Skills and Competencies: Strong financial and analytical skills, Communication skills, Confidentiality, Leadership.
İş haqqında məlumat
- Establishment of clear financial priorities of the company;
- Develop and communicate clear view to link strategic objectives with financial goals of the business;
- Analyze and assure that financial benefits of the Company are fell to the bottom line (profit improvements)
- Provide financial analytics and predictive scenarios that drive actions and decision-making processes;
- Possess a strong understanding of the company's business model and industry and be able to use this knowledge to provide an independent perspective and to constructively challenge the business teams, ensuring that business decisions are grounded in solid financial criteria;
- Development and formulation of company’s strategic financial models, forecasts, annual budgets and provide their periodic execution status to the Management Board;
- Development relevant normative base documents (policy, process and procedures) on financial and administrative functions;
- Support strategy development and assistance on its execution;
- Offer advice to the CEO regarding spending and budget questions;
- Oversee financial functions, such as assessing, auditing, planning, budgeting, taxes, consolidation, cost control, and project control;
- Assures protection for the assets of the business through internal control, internal auditing, and assuring proper insurance coverage;
- To manage the cash-flow position of the company. Responsibility includes the authority to establish credit and collections and purchasing policies and to establish schedules for the payment of bills and financial obligations;
- Planning, ensuring and control of budget execution within the area of responsibility;
- Study a company’s financial data to give advice for guiding business investments and overall financial strategy;
- Monitor cash flow, investments, and financial risk management;
- Evaluate and analyze capital expenditures, depreciation, proposals, investment opportunities, rate of return, profit plans, operating records, financial statements, etc.
Work conditions:
- Working time: 09:00 /18:00
- Working days 5/2
- Salary: Competitive salary
Interested candidates can apply for the role, please email your CV to the e-mail address in the Apply for job button, indicating the position title (Financial Director) in the subject line. Please note that only shortlisted candidates will be contacted!
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