GM Finance
PAK HY - Oils Limited
Published Date: • Karachi, Pakistan (On-Site)
Description
PAK HY - Oils Limited seeks a highly experienced GM Finance to lead the financial operations of the organization. This senior leadership role requires a minimum of 10 years of experience in the petroleum industry, with at least 5 years in a senior management position. The ideal candidate will have strong expertise in financial planning, budgeting, corporate finance, and reporting, combined with solid knowledge of relevant laws through at least 5 years of experience as a company secretary. This role involves leading a team of six finance professionals and providing strategic financial guidance to support decision-making and ensure regulatory compliance. The GM Finance is responsible for overseeing all financial functions within PAK HY - Oils Limited, driving efficient cash flow management and rigorous financial forecasting. The position demands a proactive leader who can work closely with other departments to develop budgets, analyze financial performance, prepare comprehensive financial reports, and maintain strict adherence to industry regulations. This role is critical in aligning financial strategies with the company's goals and sustaining its competitive edge in the petroleum sector.
Responsibilities
- Lead and manage the finance team of six professionals, fostering a collaborative and high-performance work environment.
- Oversee financial planning and analysis activities including preparing comprehensive budgets and forecasts aligned with company objectives.
- Manage cash flow to ensure liquidity and operational efficiency.
- Produce accurate and timely financial reports to inform senior management and support strategic decision-making.
- Ensure compliance with all applicable laws, regulations, and corporate governance standards relevant to the petroleum industry.
- Serve as the company secretary with in-depth understanding of corporate laws and regulations, facilitating board meetings and maintaining official records.
- Collaborate with other departments to monitor financial performance and identify areas for cost control and revenue enhancement.
- Implement and maintain robust financial controls and processes to mitigate risks and safeguard company assets.
- Support corporate finance activities including capital raising, investment analysis, and financial structuring.
- Continuously evaluate and improve financial systems, policies, and procedures to enhance operational effectiveness.
- Provide strategic insights and financial advice to the executive management team to drive business growth and sustainability.
Experience
10 Years
Apply By
Required Skills
- Financial Planning and Analysis
- Budgeting and Forecasting
- Cash Flow Management
- Financial Reporting
- Team Leadership
- Financial Forecasting
- Budgeting and Financial Planning
- Corporate Finance
- Regulatory Compliance
Nice to Have Skills
- Corporate Governance
- Risk Management