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
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