Finance Manager
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Key skills for this role
About the Role
Maven Insights is seeking a Finance Manager to lead treasury, financial planning, reporting, taxation, audit, and corporate governance. The role requires 10+ years of progressive finance experience, strong IFRS knowledge, and expertise in budgeting, forecasting, and cash flow management.
Key Skills for This Role
Responsibilities
- Manage weekly, monthly, and quarterly cash flow forecasting incorporating operations, projects, collections, financing, and expenditures
- Monitor daily/weekly cash positions and banking balances to ensure optimal liquidity and operational funding
- Track treasury KPIs including cash conversion cycle, working capital, liquidity ratios, and free cash flow
- Analyze short term and long term funding requirements and proactively recommend financing and working capital solutions
- Prepare comprehensive monthly Profit and Loss reports, management accounts, and financial performance packs
- Develop gross margin analyses for individual projects and business units, identify performance trends and margin leakage
- Conduct monthly financial reviews with business leaders to evaluate project performance against forecasts and profitability targets
- Support executive leadership with financial modeling and scenario analysis
- Oversee monthly financial close ensuring accurate and timely reporting in compliance with IFRS and company policies
- Lead annual external audit process for standalone and consolidated financial statements
- Oversee tax compliance including CIT, VAT, WHT, Zakat, and Transfer Pricing filings
- Lead annual budgeting and forecasting cycles in collaboration with business and functional leaders
Requirements
- Bachelor’s degree in Finance, Accounting, or related field
- 10+ years of progressive experience in finance, accounting, treasury, and financial planning roles
- Strong knowledge of IFRS, financial reporting, taxation, and compliance frameworks in KSA
- Experience in budgeting, forecasting, cash flow management, and financial modeling
- Proficiency in ERP systems and advanced Excel/financial reporting tools
- Strong stakeholder management and business partnering skills at senior management level
Full Job Posting
Job Summary
- The Finance Manager will serve as a strategic finance leader responsible for managing the company's treasury, financial planning, reporting, taxation, audit, and corporate governance functions.
- The role will oversee liquidity management, financing relationships, budgeting, profitability analysis, IFRS compliance, and financial controls while supporting business growth and operational excellence.
Treasury Management, Cash Flow Planning & Liquidity Monitoring
- Manage weekly, monthly, and quarterly cash flow forecasting incorporating operations, projects, collections, financing, and expenditures to ensure liquidity visibility and funding adequacy.
- Monitor daily/weekly cash positions and banking balances to ensure optimal liquidity and operational funding.
- Capture changes in business activities, collection timelines, supplier obligations, payroll commitments, and capital expenditure requirements.
- Track treasury KPIs including cash conversion cycle, working capital, liquidity ratios, and free cash flow.
- Analyze short term and long term funding requirements and proactively recommend financing and working capital solutions to support business growth and operational stability.
Financial Reporting, Profitability Analysis & Business Performance
- Prepare comprehensive monthly Profit and Loss reports, management accounts, and financial performance packs.
- Develop gross margin analyses for individual projects, business units, identify performance trends, and margin leakage.
- Conduct monthly financial reviews with business leaders to evaluate project performance against project sheets, forecasts, and profitability targets.
- Support executive leadership with financial modeling and scenario analysis by providing reliable financial information in form of AD hoc reports.
General Ledger Management & Financial Close Process
- Oversee monthly financial close ensuring accurate and timely reporting in compliance with IFRS and company policies.
- Review post depreciation, amortization, accruals, payroll journal vouchers, and provisions.
- Ensure monthly reconciliation of accounts receivable, account payable, loans, tax, fixed assets, and intercompany balances.
- Analyze payroll and account variances to ensure accuracy and control over financial records.
Revenue Recognition, Sales Reporting & Collection Forecasting
- Monitor revenue reporting dashboards and key performance indicators for financial accuracy and business insights.
- Review collection forecasts regularly and challenge assumptions where necessary to ensure cash flow forecasts accurately reflect expected customer payment behavior.
External Audit, Financial Statements & IFRS Compliance
- Lead annual external audit process for standalone and consolidated financial statements.
- Prepare financial statements, disclosures, reconciliations, and audit support schedules.
- Perform trial balance mapping, chart of accounts reviews, and financial statement classifications ensuring compliance with IFRS.
Tax Compliance & Regulatory Reporting
- Oversee tax compliance including CIT, VAT, WHT, Zakat, and Transfer Pricing filings.
- Ensure accurate calculation, timely filing, and compliance with statutory tax requirements.
- Coordinate with tax advisors and authorities on audits, inquiries, and regulatory matters.
Budgeting, Forecasting & Financial Planning
- Lead annual budgeting and forecasting cycles in collaboration with business and functional leaders.
- Consolidate departmental budgets into corporate financial plans aligned with strategic objectives.
- Develop financial models, scenario analysis, and business cases for decision making support.
Intercompany Accounting & Transfer Pricing Compliance
- Manage intercompany recharges, cost allocations, and reconciliations across group entities.
- Ensure Transfer Pricing compliance and arm’s length documentation standards.
- Review intercompany invoices and maintain audit ready supporting schedules.
ERP Governance, Process Improvement & Internal Controls
- Oversee ERP systems governance and ensure finance modules support business and reporting needs.
- Drive automation, process optimization, and system improvements to enhance efficiency and accuracy.
- Strengthen internal controls and financial reporting processes across finance functions.
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