Norm OJSC
Finance Manager
Son tarix 20 sen 2025 - [email protected]
A subsidiary of Norm is currently looking for a Finance Manager to lead financial planning and analysis while also managing the Accounting function to ensure compliance and accuracy.
Requirements:
- Bachelor’s Degree in Economics or Business. MBA is a plus
- Have an international certification such as ACCA, CIMA, CPA or equivalent
- Have 7+ years of experience in finance department of an international company, min. 3 years of which should work as Financial Controller / Finance Manager
- Experience in a production company is a strong preference
- Strong financial, business & analytical acumen
- Strong knowledge of Azerbaijan Tax Code and good working experience in tax matters
- Strong knowledge of IFRS and previous strong exposure to IFRS reporting
- Be fluent in Azerbaijani and English
- Must have advance level of Microsoft office skills with advanced proficiency in MS Excel & MS Power Point
- Have a strong background in working with enterprise ERP/accounting systems. SAP experience will be a strong plus
- Quickly develop a sound understanding of operating aspect of the business and acquire a strong understanding of the "big picture"
- Be detail oriented and analytical problem solver
- Have strong communication and organization skills and the ability to handle multiple tasks, meet specified deadlines and be able to work under stress
- Good team work and people management skills are essential
- Must be "solutions" oriented and be able to build effective relationships (both internally and externally)
Key Responsibilities:
- Manage and direct all accounting operational functions within the Finance department, ensure the books are accurate and that everything is accounted for in the company
- Oversee a staff of accountants and financial analysts and mentor them as required for effective performance of their duties
- Co-ordinate and manage annual budget process, including preparation of operating and capital expenditure budgets and all aspects of working capital management requirements including cash forecasting
- Direct the preparations of reports on a regular basis that include monthly financial statements, cost reports, budgeting and forecasting reports
- Manage the preparation of 1 month, 3 month, 6 month and 1 year cash plans and make cash flow analysis for optimization of cash usage. Oversee supplier payments according to established benchmarks
- Supervise and participate in the preparation of company’s monthly, quarterly and annual financial statements and reports in compliance with IFRS
- Monitor all tax-related payments and filings, make sure all activities are in compliance with local tax requirement and that all required documentation is in place
- Establish system controls for effective functioning of the financial systems and develop procedures to improve existing financial system. Support internal audits involving review of accounting and administrative controls
- Assess financial reporting systems, accounting and investment activities, and make recommendations for changes to procedures, operating systems, budgets, and other financial control functions
- Coordinate preparation of external audit materials and external financial reporting, coordinate activities of external auditors and investigate their findings and recommendations
- Direct and participate in the product unit cost analyses and identify areas for cost reduction
- Perform other duties as assigned by the management
Please send your CV to the e-mail address in the Apply for job button with the name of the position you are applying for in the subject line of the letter.