Iranian Company in Advertising Industry
Annual Package: 1.2 – 2.4 billion Tomans
Responsibilities
· Manage the company’s liquidity and cash flow to ensure operational efficiency.
· Oversee capital adequacy and maintain optimal funding structures.
· Develop, monitor, and analyze financial reporting systems for accuracy and compliance.
· Lead budgeting and forecasting processes to support strategic planning.
· Identify and secure financial resources through diverse funding channels.
· Supervise financial audits and ensure compliance with tax and insurance regulations.
· Manage financial risks and implement internal control mechanisms.
· Collaborate with cross-functional teams to improve financial performance.
· Provide financial insights and recommendations to executive leadership for decision-making.
Requirements
· Proven experience in financial management, preferably in funding or investment functions.
· Strong knowledge of financial reporting, capital management, and cash flow control.
· Familiarity with taxation, insurance, and financial compliance for knowledge-based companies.
· Proficiency in preparing and presenting financial reports to senior management.
· Ability to analyze financial data and translate insights into actionable plans.
· Experience in designing and implementing incentive and funding strategies.
· Excellent process-oriented mindset and continuous learning attitude.
· Strong interpersonal and cross-team communication skills.
· Competence in financial software and advanced Excel or ERP tools.