Warning

CyprusNet is not responsible or liable for any scams, frauds, misleading job offerings or false resume information within Cyprus Jobs free service. We strongly recommend that users never reveal private information such as credit cards, bank accounts, insurance numbers, passports, ID numbers or give away any money and so forth.

If you've been targeted by a job scam, report to: Cyprus Crime Combating Department

Position Details
Reference No.
92543
Title
CFO/Finance Manager
Employment Type
Full Time
Available Positions
1
Location(s):
Limassol
Posted On:
30/11/2018
Contact Details
Company
Golden Careers Recruitment
Contact Person
Golden Careers Recruitment
Address
301, 28 Octovriou Street, Marina Court, 7th Floor, Office No.71, Limassol, 3035, Cyprus
Limassol
Phones
357 96736946
Email
admin@goldencareers.com.cy
Job Description

Job Description

Our client is a well-established investment firm with a strong team of professionals and is currently looking to add to their dynamic team a CFO/Finance Manager

Job Responsibilities Month End - Ownership of the Month End Close for a particular entity including:

  • Preparation and posting of GL Entries;
  • Ensure GL transactions are recorded accurately and correctly;
  • Ensure accurate and up-to-date balance sheet reconciliations are produced, cleared and maintained;
  • Liaise with the business to understand and educate the team on any key commercial developments for relevant entity;
  • Liaise with HR/Payroll Department to ensure accuracy of payroll transactions;
  • Liaise with Head Office to proof and substantiate all inter-company bookings;
  • Produce accurate MI reporting for Board and Global senior management - This involves variance analysis against budgets, forecasts and prior month. As well as written commentaries and an understanding of relevant non-financial KPIs and market movements
  • Prepare and review of BAS return prior to submission and assist Global tax with any queries where needed;
  • Highlight and implement appropriate process Improvements and efficiency gains.

Year-end duties

  • Completion of consolidation entries for year-end;
  • Effective management of year end statutory audit process;
  • Preparation of statutory accounts as required for relevant entities and assist with auditors’ queries and deliverables;
  • Assist with preparation of FBT return;
  • Answer Head Office queries and support the preparation of any commentary/analysis for Group annual results announcement;
  • Assist Global tax with annual company tax returns

Other duties

  • Preparation of annual budget;
  • Preparation of forecasting process twice a year;
  • Continual process improvements, driving efficiencies and time saving actions;
  • Support, coach and mentor junior staff;
  • Authorise payroll, client and supplier payments on banking platforms;
  • To meet ad-hoc requests for information from business heads with strong analysis and problem solving;
  • Markets Daily Cash Reporting & Segregated Funds Transfers – one month of this daily deliverable will be rotated within the team each quarter;
  • Ensure compliance with all relevant technical accounting standards and regulatory reporting

Requirements

  • Bachelor’s Degree in Accounting, Finance or related field
  • Around 5 years experience in a similar role
  • Exceptional communication skills
  • Good command of the English language
  • Experience in the FX industry will be considered an advantage