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110 Investment Banker jobs in Saudi Arabia

Financial Analyst

Surbana Jurong

Posted 1 day ago

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Job Description

Overview

  • Be part of a world-leading consultancy delivering nation-building programs aligned with Vision 2030 and sustainable growth across the AMEP region.
  • This role gives you a front-row seat in shaping financial performance and governance across multi-billion-dollar infrastructure and urban projects, influencing strategy, cash flow, and business success.
  • Join a diverse, inclusive, and future-focused workplace that invests in your professional development and empowers you to lead change with integrity, innovation, and purpose.

About Surbana Jurong Group: Surbana Jurong Group is a global multi-disciplinary urban, infrastructure, and management services consultancy with a team of over 16,500 professionals across 120+ offices worldwide. Headquartered in Singapore, the Group delivers sustainable solutions that shape cities, connect communities, and power economies, driving progress across Asia, the Middle East, Africa, and beyond.

As part of our continued growth in the AMEP Region , we are seeking a Finance Analyst to support our financial planning and project management operations across our expanding portfolio of major projects.

Key Responsibilities

The Finance Analyst will play a pivotal role in supporting project financial performance, governance, and compliance across the business. The role involves close collaboration with project directors, regional finance leads, and cross-functional teams to ensure the highest standards of financial accuracy and business efficiency.

Core Responsibilities include:

  • Support project teams with financial budgeting, project planning, and cost control activities.
  • Assist in reviewing, analysing, and reporting month-end project performance data, supporting monthly review cycles.
  • Facilitate the creation and setup of new projects, ensuring policy compliance and accurate project recognition.
  • Conduct financial and performance analysis, including cost allocation, earned value management, and scenario modelling.
  • Manage lock-up processes, ensuring timely preparation of invoices and supporting documentation per client contracts.
  • Provide project employees with relevant financial information to support project delivery and cost management.
  • Support major projects, joint ventures, and alliances through cost monitoring, cash flow management, invoicing, and financial audits.
  • Contribute to finance onboarding and training for new hires and ongoing staff development.
  • Assist with financial systems improvements, tools rollouts, and process automation initiatives.
  • Respond to finance-related queries across project planning, accounts payable/receivable, and monthly reviews.
  • Support the achievement of financial performance targets through sound governance and strategic reporting.
  • Contribute to new business integration, due diligence, and operational alignment of acquired or subsidiary entities.
  • Obtain and manage appropriate approvals under the Instrument of Delegation (IoD).
  • Engage effectively across all business levels and contribute to monthly management and opportunity review meetings.
Qualifications & Experience
  • Bachelor’s degree in Finance, Accounting, or a related discipline (Master’s degree or CMA preferred).
  • Proven experience as a Finance Analyst within a consulting, engineering, or project-based organisation.
  • Minimum 10 years of relevant experience in financial planning, project accounting, and performance management.
  • Strong understanding of financial reporting, budgeting, tax, accounting standards, and business compliance.
  • Proficiency in ERP systems and financial tools (e.g., Oracle, SAP, Workday, or equivalent).
  • Excellent analytical and communication skills, with strong attention to detail.
  • Demonstrated ability to work collaboratively across functions and deliver outcomes under tight deadlines.
Why Join Us

At Surbana Jurong, we believe our people are the heart of our success. Joining our team means working alongside world-class professionals on transformative projects that make a real impact. We offer a diverse, inclusive, and forward-thinking work environment that fosters growth, innovation, and continuous learning.

At Surbana Jurong, we put talent, hard work, teamwork and a fun workplace together to approach problems and solve them creatively and collaboratively. Join us in making a positive impact on the world!

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Financial Analyst

Riyadh, Riyadh AMCORP

Posted 1 day ago

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Job Description

Overview

Financial Analyst – Riyadh, KSA

We are a leading pharmaceutical manufacturer in the Kingdom of Saudi Arabia, looking to hire a Financial Analyst to join our team in Riyadh.

Requirements

Minimum 3 years’ experience in a financial role within the pharmaceutical industry.

BSc in Accounting or Finance (Master’s degree is a plus).

Strong skills in financial planning, analysis, and reporting.

Ability to collaborate effectively across business and operations teams.

We Offer

Attractive salary package.

Comprehensive health insurance.

Annual air ticket allowance.

A professional and growth-oriented working environment.

Job Specification
  • Proficiency in MS Excel, PowerPoint, and financial modeling.
  • Familiarity with ERP systems (SAP, Oracle, or similar).
  • Strong analytical and problem-solving abilities.
  • Excellent communication and presentation skills.
  • Ability to manage deadlines and multiple priorities.
  • Knowledge of the pharma industry financial KPIs is an advantage.
Job Rewards and Benefits

Health Insurance, Leaves

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Financial Analyst

SJ Group

Posted 1 day ago

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Job Description

Overview

Surbana Jurong Group is a global multi-disciplinary urban, infrastructure, and management services consultancy. We are seeking a Finance Analyst to support our financial planning and project management operations across our expanding portfolio of major projects in the AMEP region.

Key Responsibilities
  • Support project teams with financial budgeting, project planning, and cost control activities.
  • Assist in reviewing, analysing, and reporting month-end project performance data, supporting monthly review cycles.
  • Facilitate the creation and setup of new projects, ensuring policy compliance and accurate project recognition.
  • Conduct financial and performance analysis, including cost allocation, earned value management, and scenario modelling.
  • Manage lock-up processes, ensuring timely preparation of invoices and supporting documentation per client contracts.
  • Provide project employees with relevant financial information to support project delivery and cost management.
  • Support major projects, joint ventures, and alliances through cost monitoring, cash flow management, invoicing, and financial audits.
  • Contribute to finance onboarding and training for new hires and ongoing staff development.
  • Assist with financial systems improvements, tools rollouts, and process automation initiatives.
  • Respond to finance-related queries across project planning, accounts payable/receivable, and monthly reviews.
  • Support the achievement of financial performance targets through sound governance and strategic reporting.
  • Contribute to new business integration, due diligence, and operational alignment of acquired or subsidiary entities.
  • Obtain and manage appropriate approvals under the Instrument of Delegation (IoD).
  • Engage effectively across all business levels and contribute to monthly management and opportunity review meetings.
Qualifications & Experience
  • Bachelor’s degree in Finance, Accounting, or a related discipline (Master’s degree or CMA preferred).
  • Proven experience as a Finance Analyst within a consulting, engineering, or project-based organisation.
  • Minimum 10 years of relevant experience in financial planning, project accounting, and performance management.
  • Strong understanding of financial reporting, budgeting, tax, accounting standards, and business compliance.
  • Proficiency in ERP systems and financial tools (e.g., Oracle, SAP, Workday, or equivalent).
  • Excellent analytical and communication skills, with strong attention to detail.
  • Demonstrated ability to work collaboratively across functions and deliver outcomes under tight deadlines.
Why Join Us

At Surbana Jurong, we believe our people are the heart of our success. Joining our team means working alongside world-class professionals on transformative projects that make a real impact. We offer a diverse, inclusive, and forward-thinking work environment that fosters growth, innovation, and continuous learning.

We are committed to talent, hard work, teamwork, and a positive work culture that encourages creative and collaborative problem-solving. Join us in making a positive impact on the world.

Seniority level
  • Mid-Senior level
Employment type
  • Full-time
Job function
  • Finance and Sales
Industries
  • Professional Services

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Financial Analyst

Riyadh, Riyadh SOES

Posted 2 days ago

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Job Description

Provide high quality and timely analytical support to management. Proactively and effectively communicate key issues to management. Design and develop analytical tools to improve data collection and management reporting efforts. Track financial status by monitoring variances from budget and financial plans. Determine financial status by comparing and analyzing plans and forecasts with actual results. Reconcile transactions by comparing and correcting data. Increase productivity by developing automated applications, eliminating duplications, and coordinating information requirements. Provide information to management by collecting and summarizing data, preparing reports, and making presentations of findings, analyses, and recommendations. Communicate information to staff and team members on a regular basis, keeping them up-to-date and soliciting their input on current issues and critical tasks. Accomplish finance and organization mission by completing related results as needed.

Job Specification

Excellent communication and presentation skills. Proven ability to communicate with and present to all levels of management. Strong leadership skills, including coaching and team building. Ability to influence and work effectively in a fast-paced, global, highly-matrixed environment. Strong business acumen and demonstrated proficiency in driving results. Highly motivated with the ability to drive results. Proficient in Access, Excel, PowerPoint, and SAP.

Information Technology and Services - Rawalpindi, Pakistan

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Financial Analyst

Riyadh, Riyadh NTT DATA, Inc.

Posted 2 days ago

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Job Description

Overview

Financial Analyst is a seasoned subject matter expert responsible for gathering and analyzing financial data to facilitate decision-making and provide guidance to business stakeholders within the business. This role makes financial recommendations based on analyzed data, including information regarding past company performance against metrics and cost management.

Key Responsibilities
  • Extract data from financial reports to conduct financial and statistical analyses, identify discrepancies, and recommend solutions.
  • Monitor and control expenditure by approving or denying requisitions based on whether items are within budget.
  • Prepare a variety of financial reports based on analysis results.
  • Present findings and provide recommendations to relevant internal stakeholders.
  • Research and analyze costs of projects, departments, and future ventures to inform on expenses and profitability margins.
  • Reconcile and review monthly account analysis for balance sheet accounts.
  • Ensure budget and forecast variances are analyzed and recommendations are made to improve company performance.
  • Assist with input into the annual budgeting and forecasting process.
  • Ensure key analyses are performed on areas of risk or opportunity and communicate financial levers to the business with clear recommendations.
  • Continuously review business initiatives to ensure they meet profitability expectations.
  • Identify cost management opportunities to improve profitability and sustainable returns for the business.
  • Perform any other relevant tasks as assigned by the management team.
Knowledge and Attributes
  • Demonstrates excellent attention to detail and maintains high quality of work.
  • Excellent verbal and written communication skills.
  • Strong planning and organizing abilities.
  • Deadline driven with the ability to cope with stressful situations.
  • Able to deal with different individuals at all levels in the organization.
  • Self-motivated with a solutions-oriented approach.
  • Proactive with the ability to think ahead in a fast-paced environment.
  • Seasoned analytical skills with the ability to understand underlying business drivers and provide actionable insights.
  • Experience with international entities, foreign currency, and inter-company transactions.
Academic Qualifications and Certifications
  • Bachelor's degree or equivalent in finance, economics, business management, statistics, or related field (preferred).
  • Relevant financial analysis certifications (preferred).
Required Experience
  • Seasoned experience in a similar position in a related environment.
  • Experience with accounting software.
  • Experience within finance in a company with international operations.
Workplace type

On-site Working

About NTT DATA

NTT DATA is a $30+ billion trusted global innovator of business and technology services. We serve 75% of the Fortune Global 100 and invest over $3.6 billion annually in R&D to help organizations and society move confidently and sustainably into the digital future. As a Global Top Employer, we have diverse experts in more than 50 countries and a robust partner ecosystem. Our services include business and technology consulting, data and AI, industry solutions, and the development, implementation and management of applications, infrastructure, and connectivity. NTT DATA is part of NTT Group and headquartered in Tokyo.

Equal Opportunity Employer

NTT DATA is proud to be an Equal Opportunity Employer with a global culture that embraces diversity. We are committed to providing an environment free of unfair discrimination and harassment. We do not discriminate based on age, race, color, gender, sexual orientation, religion, nationality, disability, pregnancy, marital status, veteran status, or any other protected category.

Join our growing global team and accelerate your career with us. Apply today.

Additional job details
  • Seniority level: Mid-Senior level
  • Employment type: Full-time
  • Job function: Finance and Sales
  • Industries: IT Services and IT Consulting

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Financial analyst

al Jubayl, Eastern region Fircroft

Posted 5 days ago

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Job Description

Job Purpose:

The Financial Analyst is responsible for managing and executing treasury operations, including sales revenue collection, payments processing, foreign currency transactions, and the arrangement of short- and long-term loans. The role also involves investing cash surplus with financial institutions, preparing and analyzing financial ratios and cash flow, and generating monthly and quarterly treasury reports (e.g., investments, loan exposure, and market insights).

Main Responsibilities:

  1. Monitor the collection of sales into company revenue accounts.
  2. Execute payments to local and overseas suppliers and employees; manage foreign currency transactions.
  3. Prepare the companys monthly cash flow requirements.
  4. Invest cash surplus in various instruments.
  5. Evaluate and select appropriate financing instruments.
  6. Arrange short- and long-term loans at optimal cost and terms.
  7. Determine monthly financing needs for operations.
  8. Issue and amend Letters of Credit (LCs) and Letters of Guarantee (LGs).
  9. Record entries for loans, investments, and FX transactions.
  10. Resolve payment rejections with financial institutions.
  11. Analyze working capital and financial ratios.
  12. Assist with monthly and yearly book closings.
  13. Prepare investment, exposure, guarantees, and loan reports (monthly/quarterly/yearly).
  14. Prepare reports on bank charges and other income.
  15. Submit financial reports to management, shareholders, and lenders.
  16. Monitor capital project progress.
  17. Prepare loan covenants and KYC requirements.
  18. Manage KYC requirements for financial institution onboarding.
  19. Support other departments with treasury-related data.
  20. Prepare monthly treasury accruals.
  21. Update and manage authorized signatories in line with organizational changes.
  22. Respond to government and external auditor inquiries.
  23. Ensure compliance with company policies, regulations, and safety procedures.
  24. Manage requirements related to cash sweep operations.
  25. Support hedging strategy evaluation and arrangements.
  26. Ensure timely payments of withholding tax, GOSI, and other government dues.
  27. Process SADAD payments promptly.
  28. Perform any additional duties as assigned by the supervisor/manager.

Skills

Education & Qualifications:

  • Required: Bachelors degree in Finance, Accounting, Business Administration, or related field
  • Preferred: Masters in Business Administration (MBA) or professional certifications (e.g., CFA, CPA)

Preferred Skills & Competencies:

  • Solid knowledge of financial risk management tools, techniques, and methodologies
  • Understanding of treasury front office operations
  • Practical experience in FX trading, interest rate risk management, and commodities trading
  • Strong financial risk management acumen

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Financial Analyst

Al Khobar, Eastern region BOSS Built Environment

Posted 5 days ago

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Job Description

Group Financial Planning & Analysis Manager

Al Khobar, Saudi Arabia

Job Overview

The Financial Analyst provides financial planning, analysis, and decision-support to the CFO and senior leadership. The role consolidates information from subsidiaries, prepares Board-level reports, develops financial models, and ensures structured budgeting and forecasting. The analyst also supports strategic planning, cost management, and digital finance initiatives for Holding Group. A digital leader in Finance driving automation, leading system implementations and use of AI.

Key Responsibilities

Financial Analysis & Reporting

  • Consolidate financial information across subsidiaries and produce Board and ExCom reports.
  • Perform variance analysis against budgets/forecasts and investigate root causes.
  • Conduct ad-hoc analysis to support CFO, ExCom, and Holding Directors.

Systems & Process Leader

  • Leverage ERP, consolidation software, and BI tools to drive efficiency in reporting.
  • Support implementation of new systems and digital finance initiatives at Holding.
  • High focus leveraging systems to drive efficiency into the planning process
  • Develop dashboards and reporting templates for management use.

Budgeting & Forecasting

  • Lead the preparation of annual budgets and rolling forecasts.
  • Execute an organized budget process for Holding-level functions.

Financial Modelling & Strategic Support

  • Build and maintain advanced financial models (Excel: pivots, lookups, match, ideally macros).
  • Conduct scenario and sensitivity analyses to support decision-making.
  • Provide analysis and insights for Holding Directors on forecasts and cost management.
  • Assist the CFO in strategic planning and long-term financial outlooks.

Cost Management & Business Partnering

  • Monitor Holding-level costs, identify saving opportunities, and recommend optimizations.
  • Partner with business leaders to align financial plans with operational needs.
  • Support subsidiaries in resolving analysis and reporting issues.

Time & Project Management

  • Manage multiple tasks and projects with accuracy and timeliness.
  • Ensure deliverables (reports, budgets, forecasts) are completed on schedule.
Communications & Working Relationships

Internal:

  • Chief Financial Officer (CFO)
  • Chief Executive Officer (CEO).
  • All departments within Holding Group.
  • Subsidiary MDs and Finance Directors.
  • All department within Subsidiaries.

External:

  • Consultants.
  • External Auditors.
Qualifications, Experience & Skills
  • Bachelor’s degree in Finance, Accounting, Economics, or related field (Master’s preferred).
  • Professional certification (ACCA, ACA, CMA, CPA, or equivalent) desirable.
  • 3+ years of financial analysis or FP&A experience; holding company or diversified group experience is a plus.
  • Strong financial modelling and advanced Excel skills (pivots, lookups, match, macros).
  • Experience with ERP systems, consolidation tools, and BI platforms.
  • Strong English language skills (spoken and written).
Competencies & Leadership Attributes
  • Financial modelling, advanced Excel, forecasting, cost management.
  • Ability to investigate, reason, and clearly explain findings.
  • Skilled in ERP, BI, and financial reporting tools.
  • Strong written and verbal skills in English; ability to produce Board-ready reports.
  • Strong time and project management, detail-oriented, structured.
  • Ability to work with Holding Directors and subsidiaries on forecasts and cost planning.

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Financial Analyst

Wa'ed Ventures

Posted 6 days ago

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Job Description

Job Summary:
The Accounting & Financial Analyst is responsible for supporting both accounting and financial analysis functions, including general ledger maintenance, financial reporting, accounts payable and receivable, budgeting, and financial planning. The role ensures accuracy in financial records, assists in cash management, conducts financial analysis, and supports valuation exercises, all while adhering to company policies and compliance requirements.

Key Responsibilities:
  • Financial Accounting & Bookkeeping
  • Maintain general ledger records, ensuring transactions are accurately recorded and aligned with company policies and accounting standards
  • Assist in month-end and year-end closing processes, including account reconciliations and journal entries
  • Support the preparation of financial statements, such as balance sheets, income statements, and cash flow reports
  • Participate in fixed asset tracking, ensuring proper classification and depreciation schedules
  • Assist in maintaining internal controls, ensuring compliance with financial policies and regulations
  • Accounts Payable & Receivable
  • Process vendor invoices, employee reimbursements, and other payments, ensuring proper approvals and documentation
  • Assist in managing accounts receivable, tracking outstanding balances, and following up on collections
  • Prepare aging reports, highlighting overdue payments for necessary follow-ups
  • Budgeting & Financial Planning
  • Support the preparation of annual budgets and quarterly forecasts, working closely with finance teams to ensure accuracy
  • Assist in monitoring budget vs. actual performance, identifying variances, and providing basic financial insights
  • Help in compiling financial stewardship reports for internal use and reporting to stakeholders
  • Banking & Cash Management
  • Monitor daily cash balances and assist in preparing cash flow reports
  • Help prepare cash call requests and coordinate with banks to obtain bank statements and resolve any discrepancies
  • Assist in bank reconciliations, ensuring alignment between company records and bank transactions
  • Financial Analysis & Reporting
  • Support financial analysis tasks, including cost variance analysis and profitability assessments
  • Assist in the preparation of key performance indicators (KPIs) and financial dashboards
  • Conduct basic financial modeling and scenario analysis to support decision-making
  • Assist in preparing reports on business performance, providing insights to management
  • Investment & Valuation Support
  • Support the preparation of valuation exercises for portfolio companies, assisting in financial due diligence
  • Assist in conducting comparative financial analysis to support investment decision-making
  • Help in reviewing financial statements of investee companies and flagging potential risks
  • Compliance & Audit Support
  • Assist in internal and external audits, preparing necessary documentation and responding to audit queries
  • Ensure financial records are properly maintained and stored for compliance purposes
  • Support compliance with VAT, withholding tax, Zakat, and other regulatory requirements
  • Policies, Systems & Process Improvements
  • Follow company accounting and financial policies, ensuring compliance with internal controls
  • Suggest process improvements to enhance efficiency in financial operations
  • Assist in the implementation of new financial systems and automation tools to streamline accounting and reporting tasks
Qualifications and General Competencies:
  • Bachelor's degree in Accounting, Finance, or a related field
  • 1-3 years of experience in accounting, finance, or financial analysis
  • Basic knowledge of accounting principles, financial analysis, and reporting standards
  • Strong proficiency in Microsoft Excel and accounting software
  • Ability to perform financial reconciliations and basic financial modeling
  • Strong communication skills, both written and verbal, with the ability to convey financial information clearly to stakeholders
  • Excellent attention to detail and accuracy in financial reporting
  • Ability to work independently and collaborate with teams
  • Good problem-solving and analytical skills to support financial decision-making
  • Basic understanding of investment valuation and financial statement analysis is a plus
  • Partial or full pursuit of SOCPA, CPA, ACCA, CMA, or CFA certification is preferred but not required
Working Conditions:

The Accounting & Financial Analyst will work in a structured and fast-paced environment, handling both accounting and financial analysis responsibilities. The role may require extended hours during peak financial periods, such as audits, budget cycles, and reporting deadlines.

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Financial Analyst

Riyadh, Riyadh Armah Sports Company

Posted 7 days ago

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Job Description

Overview

A Financial Analyst plays a crucial role in the financial health of an organization by analyzing financial data, preparing reports, and providing insights that guide decision-making. This position involves working closely with various departments to ensure financial strategies align with the company's goals. The ideal candidate will possess strong analytical skills, attention to detail, and a deep understanding of financial principles.

Responsibilities
  1. Analyze financial data to identify trends, variances, and opportunities for improvement.
  2. Prepare detailed financial reports and forecasts to support strategic planning.
  3. Collaborate with department heads to develop budgets and monitor financial performance.
  4. Conduct risk assessments and recommend strategies to mitigate financial risks.
  5. Assist in the preparation of financial statements and ensure compliance with regulations.
  6. Evaluate investment opportunities and provide recommendations based on financial analysis.
  7. Monitor cash flow and working capital to ensure financial stability.
  8. Support the finance team in ad-hoc projects and initiatives as needed.
  9. Present findings and recommendations to senior management and stakeholders.
  10. Stay updated on industry trends and changes in financial regulations.
Preferred Candidate
  1. Certificate (ACCA, CPA, CMA or CFA partial)
  2. Bachelor degree in accounting
  3. Hospitality sector experience is required
  4. Strong analytical and problem-solving skills.
  5. Excellent communication and presentation abilities.
  6. Proficiency in financial modeling and forecasting techniques.
  7. Detail-oriented with a focus on accuracy.
  8. Ability to work collaboratively in a team environment.
  9. Strong organizational and time management skills.
  10. Proficient in financial software and Microsoft Excel.
  11. Ability to adapt to changing financial regulations and standards.
  12. Experience in financial analysis within a corporate setting.
  13. Commitment to continuous professional development and learning.
Skills
  • Proficient in financial analysis and reporting.
  • Strong knowledge of accounting principles and financial regulations.
  • Expertise in financial modeling and forecasting.
  • Advanced skills in Microsoft Excel and financial software.
  • Ability to interpret complex financial data and present findings clearly.

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Financial Analyst

Waed Ventures

Posted 14 days ago

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Job Description

Job Summary:

The Accounting & Financial Analyst is responsible for supporting both accounting and financial analysis functions, including general ledger maintenance, financial reporting, accounts payable and receivable, budgeting, and financial planning. The role ensures accuracy in financial records, assists in cash management, conducts financial analysis, and supports valuation exercises, all while adhering to company policies and compliance requirements.

Key Responsibilities:

1. Financial Accounting & Bookkeeping

· Maintain general ledger records, ensuring transactions are accurately recorded and aligned with company policies and accounting standards.

· Assist in month-end and year-end closing processes, including account reconciliations and journal entries.

· Support the preparation of financial statements, such as balance sheets, income statements, and cash flow reports.

· Participate in fixed asset tracking, ensuring proper classification and depreciation schedules.

· Assist in maintaining internal controls, ensuring compliance with financial policies and regulations.

2. Accounts Payable & Receivable

· Process vendor invoices, employee reimbursements, and other payments, ensuring proper approvals and documentation.

· Assist in managing accounts receivable, tracking outstanding balances, and following up on collections.

· Prepare aging reports, highlighting overdue payments for necessary follow-ups.

3. Budgeting & Financial Planning

· Support the preparation of annual budgets and quarterly forecasts, working closely with finance teams to ensure accuracy.

· Assist in monitoring budget vs. actual performance, identifying variances, and providing basic financial insights.

· Help in compiling financial stewardship reports for internal use and reporting to stakeholders.

4. Banking & Cash Management

· Monitor daily cash balances and assist in preparing cash flow reports.

· Help prepare cash call requests and coordinate with banks to obtain bank statements and resolve any discrepancies.

· Assist in bank reconciliations, ensuring alignment between company records and bank transactions.

5. Financial Analysis & Reporting

· Support financial analysis tasks, including cost variance analysis and profitability assessments.

· Assist in the preparation of key performance indicators (KPIs) and financial dashboards.

· Conduct basic financial modeling and scenario analysis to support decision-making.

· Assist in preparing reports on business performance, providing insights to management.

6. Investment & Valuation Support

· Support the preparation of valuation exercises for portfolio companies, assisting in financial due diligence.

· Assist in conducting comparative financial analysis to support investment decision-making.

· Help in reviewing financial statements of investee companies and flagging potential risks.

7. Compliance & Audit Support

· Assist in internal and external audits, preparing necessary documentation and responding to audit queries.

· Ensure financial records are properly maintained and stored for compliance purposes.

· Support compliance with VAT, withholding tax, Zakat, and other regulatory requirements.

8. Policies, Systems & Process Improvements

· Follow company accounting and financial policies, ensuring compliance with internal controls.

· Suggest process improvements to enhance efficiency in financial operations.

· Assist in the implementation of new financial systems and automation tools to streamline accounting and reporting tasks.

Qualifications and general competencies:

· Bachelor’s degree in Accounting, Finance, or a related field.

· 1-3 years of experience in accounting, finance, or financial analysis.

· Basic knowledge of accounting principles, financial analysis, and reporting standards.

· Strong proficiency in Microsoft Excel and accounting software.

· Ability to perform financial reconciliations and basic financial modeling.

· Strong communication skills, both written and verbal, with the ability to convey financial information clearly to stakeholders.

· Excellent attention to detail and accuracy in financial reporting.

· Ability to work independently and collaborate with teams.

· Good problem-solving and analytical skills to support financial decision-making.

· Basic understanding of investment valuation and financial statement analysis is a plus.

· Partial or full pursuit of SOCPA, CPA, ACCA, CMA, or CFA certification is preferred but not required.

Working Conditions:

The Accounting & Financial Analyst will work in a structured and fast-paced environment, handling both accounting and financial analysis responsibilities. The role may require extended hours during peak financial periods, such as audits, budget cycles, and reporting deadlines.

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  63. psychology Therapy
  64. pets Veterinary
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