CFO в турецкий строительный холдинг RÖNESANS HOLDİNG (в Стамбул)

24 января 2022
Стамбул (Турция)
международная компания

Турецкий строительный холдинг RÖNESANS HOLDİNG ищет CFO.

 

Qualifications:

  • Bachelor’s or higher degree in BA, economics or engineering from a reputable university (having an MBA is a plus)
  • 15+ years of professional experience in corporate finance, financial reporting, audit, investment banking, M&A, project finance or similar fields
  • Excellent command of English and professional working level of Russian and Turkish
  • Experience from advisory or audit departments of international consultancy companies (such as Big 4), investment banks, M&A houses or multilaterals or similar institutions (CFA is a plus)
  • Excellent knowledge of Microsoft Office especially Excel and PowerPoint
  • Understanding of currency, interest and commodity price risks and instruments available to mitigate/hedge these risks
  • Ability to assess counterparty risk attributable to customers, JV partners and vendors based on financials and other information available (annual reports, etc)
  • Ability to maintain and develop complex financial models and presentations
  • Strong project management skills
  • Ability to deliver high quality work within deadlines under demanding environments
  • Strong analytical and financial modeling skills
  • Sufficient technical knowledge in accounting, tax, IFRS, financial analysis, valuation, debt structuring, and etc
  • Strong inter-personal skills, ability to communicate clearly and concisely both orally and in writing
  • Willingness to travel, i.e. no obstacles for travelling within Russia or abroad frequently

 

Job Description:

  • Management of accounting, IFRS reporting, independent auditing and managing tax processes in compliance with the legislation and in accordance with schedules
  • Carrying out medium and long-term financial targets, business plan and strategy studies, making market comparison analyzes
  • Managing the financial analysis and reporting activities requested by the Holding’s management
  • Evaluating risks and opportunities related to company’s structure and carrying out consultancy activities that can be taken in these areas
  • Managing of working capital, cash flow processes and relations with financial institutions
  • Monitoring the FX position and interest rate risks, preparing the reports requested by the “Treasury Committee” completely and accurately
  • Monitoring of accounting and cash operation processes
  • Keeping track of accounting and cash operation processes
  • Leading the investment processes, establishing investment strategies by making cash management, tax, financial and cost analyzes
  • Managing company valuation studies when needed
  • Preparating of general administrative expense budgets, periodic control and follow-up of project budgets
  • Providing necessary information and documents for the execution of tender and bidding processes, control and follow-up of the financial risks of the offers and evaluating of the impact on the financial position of the company
  • Managing the financial risks of employer contracts, controlling the compliance of the criminal sanctions under the contract with the company and Holding policies and procedures, and fulfilling the relevant obligations
  • Making financial evaluations in current and potential partnership processes and conducting relations with partners/stakeholders, follow-up and control of joint processes
  • Establishing and periodically testing the necessary internal control system within the company in order to prepare the financial statements accurately, completely and on time

 

Внимание! Для отклика на вакансию нужен VPN.

Данная вакансия, к сожалению, уже не актуальна.

Чтобы откликнуться на вакансию - необходимо подписаться на наш сервис