On behalf of our client, a company offering banking, legal counsel, and dealing support, we are looking for a Finance Manager to be based at their offices in Limassol, Cyprus.
Main Duties and Responsibilities:
- Develops and implement annual budgeting processes, ensuring alignment with organizational goals and objectives.
- Monitors and analyze budget variances and provide insights to management for corrective actions.
- Oversees the preparation of accurate and timely financial statements, including income statements, balance sheets, and cash flow statements.
- Ensures compliance with International Financial Reporting Standards (IFRS) and local regulations.
- Reviews and improve financial reporting systems and processes to enhance accuracy and efficiency.
- Prepares and present monthly, quarterly, and annual management reports, highlighting key financial metrics and trends.
- Analyzes financial performance and provide recommendations to management for strategic decision-making.
- Collaborates with department heads to understand their financial needs and provide guidance on resource allocation.
- Manages financial operations for forex companies at several jurisdictions, ensuring compliance with regulatory and reporting obligations and requirements.
- Liaises with auditors, regulators, and external advisors to address financial and regulatory matters.
- Implements effective financial controls and procedures as necessary.
- Identifies opportunities for revenue enhancement, and operational efficiencies.
- Support strategic planning by providing financial insights and recommendations to senior management.
- Leads and mentor a team of finance professionals, fostering a culture of continuous improvement and accountability.
- Ensures the professional development of team members through training and performance management.
- Ensures adherence to financial policies, procedures, and internal controls to mitigate financial risks.
- Stays updated on industry trends, regulatory changes, and best practices in financial management.
- Implement risk management strategies to safeguard company assets and financial integrity.
Job Requirements:
- At least 3 years of previous experience in a similar position within the forex industry.
- BSc Degree in Accounting, Finance, Business, Economics or related.
- Strong analytical and quantitative skills.
- Strong organizational skills and ability to multi-task and prioritise.
- Excellent communication skills, both written and verbal in English is a must.
- Excellent attention to detail and high level of accuracy.
- Proficient in financial software and MS Office/ Excel is a must.
- Ability to work independently and as part of a team.
Benefits:
- Attractive remuneration package according to qualifications and experience
- Private Medical Insurance after completion of the first 3 months of employment
- Discretionary performance bonus and annual salary review
- Employee Referral Bonus
- 21 days of Annual Leave
- 5 days of Paid Sick Leave
- Corporate discounts
- Free parking Spot
- Free snacks and beverages daily, complimentary lunch on Fridays and sweet Mondays’ brunch to seize the week.
- Amazing Opportunities for career advancement vertically and horizontally
- Magnificent Corporate Events and Team building activities
All CVs will be handled with the utmost confidentiality.