We Are Looking For A Chief Accountant.

Posted: 04 Nov 2022

Location: Kuwait


-Above 7-year proven experience in financial statements, analysis, forecasting, budgeting, evaluation and reconciling financial data.
-In-depth understanding of International financial reporting standards (IFRS)
-BS degree in Accounting, Finance or relevant
-At least 3-year audit experience from a well-known firm (Top 10).
-Relevant certification (CMA or CPA) will be preferred
-Ability to communicate ideas and information clearly and effectively at all levels within the company in English and Arabic.
-Ability to meet deadlines and handle multiple complex projects.
-Demonstrated ability to use sound judgement in decision-making, problem solving, organizational, analytical and time management skills.
-Must be capable of maintaining confidentiality of work-related information and materials.
-Demonstrated experiences in budget development and oversight.
-Ability to lead, inspire, supervise, and evaluate team members to meet company and department goals and objectives.

*Prepare accurate financial statements, financial forecasts and revenue projections and other reports as required.
*Provide accurate data to superiors with on-going forecasting of operating revenues and expenditures, and the resulting operational impact.
*Train and evaluate junior staff within the department
*Understanding and compliance with the generally accepted accounting procedures and standards
*Ensure all accounts are reconciled daily / weekly / monthly as required.
*Review accounts payable and making sure all our vendor payments and balances are up to date.
*Ensure supplier invoices are booked and payments done on time.
*Ensure proper inventory management with periodic stock counts.
*Ensure accurate and timely monthly and year end close and financial information reporting.
*Responsible of issuing audited financial statements on time by coordinate with external auditors for timely completion by planning and providing all accurate requested data.
*Track the company’s financial status and performance.
*Budget preparation, controlling, monitoring, and forecasting; including the forecasting funds required for staffing, equipment, materials, and supplies; monitor budget variance on regular basis.
*Monitor the cash flow of the company to ensure sufficient funds are available to meet cash needs.
*Create and implement various control to strengthen the internal control of the company.
*Ensure accurate cash management & prudent accounting with
periodic reconciliations and timely management reporting.
*Assist in the day-to-day financial management of the company’s financial resources.
*Maintains appropriate filing of financial records and ensures proper backup of all files.
*Proactively provide timely analysis of financial and operational data to senior staff.
*Manage and maintain relationships with banks, insurance, and major suppliers.

Interested Candidates please send us your CV to [email protected]


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