Job title: VP Finance
Company: OQ
Job description: StreamOTTCOFunctionOTTCO – FinanceLocationOman – MuscatBudget control*OPEX and/or CAPEX and/or Revenue amount as relevant*Reporting toManaging Director OTTCODirect Reports5Job purposeVP of Finance leads OTTCO’s Finance Control & Treasury Operations, holding ultimate accountability for all financial accounting, cash management, and governance & control. This role acts as the top financial authority within OTTCO, reporting directly to the Managing Director. Key responsibilities include:
- Strategically leading Financial Operations (Accounting, Financial, Projects Accounting, and Tax Services), ensuring a robust control structure.
- Directing Financial Accounting & Cash Management (working capital, investments, liquidity, funding, reporting, audits, and risk management).
- Establishing and maintaining Governance & Controls aligned with OQ Group objectives, adhering to accepted accounting practices.
This position operates in accordance with the OQ Group’s Mission, Vision, Values & Strategies, policies, guidelines, and international standards, leveraging IT technology, HSE standards, Omani government regulations, and best international practices.Main tasks and responsibilitiesFinancial Reporting & Strategy:
- Prepare OTTCO’s financial statements (P&L), managing OPEX, CAPEX, cash flows, EBITDA, and Net Profits for Managing Director approval.
- Participate with the Managing Director in developing OTTCO’s financial vision, strategy, and direction.
- Manage cash flow forecasts (5-year plan), including drawdown plans and debt/equity ratios.
- Consolidate OTTCO’s annual budget and working capital requirements.
- Work together with the OQ Corporate Governance to design and establish OTTCO Governance & Controls, in line with OQ holding company structure.
Financial Control, Accounting & Cash Management:
- Manage financial statements, audits, and reporting, ensuring IFRS compliance.
- Oversee cash flows, ensuring sufficient funds for all requirements.
- Develop and review hedging strategies to minimize currency exposure.
- Lead treasury operations (financial affairs, investments, liquidity, reporting, risk management, insurance, credit management).
- Provide consolidated cash pooling and treasury services.
- Evaluate and implement cash management systems.
- Manage and forecast daily cash requirements and execute financing decisions.
- Monitor and trade investment portfolios.
- Maintain credit rating agency relationships and manage credit extension.
- Lead enterprise risk management and insurance programs.
- Manage relationships with financial service providers.
- Evaluate and manage foreign exchange and interest rate risk.
- Manage OTTCO’s debt portfolio.
Financial Operations:
- Lead Accounting Services (accounts payable/receivable, fixed assets, bank reconciliation).
- Oversee Financial Accounting Operations (order to cash, treasury operations, accounts payable, GL operations).
- Manage Financial Risk Management and Tax Services (CIT, WHT, VAT, tax planning, risk control, transfer pricing).
- Lead Financial Services, aligning with OQ and international standards.
- Provide financial operational support to projects.
- Manage and develop the financial operations team
Projects & Studies
- Manage major financial projects (e.g., refinancing, acquisitions).
- Evaluate the financial impact of new business ventures
Governance & Control:
- Lead the end-to-end process for Governance and Internal Control.
- Coordinate the development and implementation of the Manual of Authorities.
- Embed robust corporate governance.
- Provide tax advice on cross-border transactions.
- Liaise with external auditors.
- Assess financial control effectiveness and recommend improvements.
- Stay abreast of regulatory changes.
- Work with auditors to demonstrate financial control effectiveness
Supervisory Responsibilities:
- Provide supervisory oversight of finance personnel (hiring, training, development, evaluation, discipline).
- Interpret, administer, and enforce work rules, policies, and procedures.
- Recommend and implement changes in staffing, procedures, budgets, and equipment.
Related Assignments:Perform other related duties or assignments as directed.Key interactionsInternal: OTTCO – Corporate FinanceExternal: Staffing specialized Contractors, Vendors & Suppliers, internal and external auditorsNotable Working Conditions. Office environment, intensive computer screen use, sporadic visits to operation site.Education requirementsMinimum qualification required is a bachelor’s degree along with any of the below which will be a plus.
- MBA or professional accounting qualification (like CA, ACCA or CIMA)
- Certificate in Treasury Fundamentals (CertTf), Certificate in Treasury (CertT), Diploma in Treasury Management (DipTM),
- Certificate in Cash Management / Cash Management Fundamentals
LanguageExcellent knowledge of written, read, and spoken English (required)Background and experienceCompetencies and skills
- 16+ years’ experience in similar role, in a large oil industry industrial organisation.
- Strong experience in preparing cash forecasts and cash flow analyses, financial Presenting and preparing proposals to recommend new products/services.
- Strong experience in Investment portfolio strategy, banking, and financial instruments.
- General knowledge of IFRS reporting requirements for investments and other financial instruments & Treasury software
- Experience with:
- Finance, Accounting services,
- Finance, people and technical improvements into business planning and delivery.
- International Finance, Taxation -(Corporate Income Taxes (CIT), Withholding Tax (WHT),
Soft:
- People’s management skills
- Analytical and Planning skills
- Empowering & developing high performing Teams
- Promotes Teamwork and an environment of Diversity & Inclusion
- Builds trust by meeting commitments & creating an environment of transparency and accountability
- Maintaining effective, accurate and transparent communication with all stakeholders & community
- Acts as an agent for change, constructively challenging the status quo
- Pursues innovation & continuous improvement
- Leads a solution-based approach to plan and deliver competitive results
- Transforms strategic insight into achieving business excellence
Technical
- Very good knowledge in using PC software.
- Treasury, Banking, Risk & Insurance,
- Financial Accounting Operations (order to cash, treasury operations, account payable, GL Operations)
- Financial Risk
- TAX Services
- Governance & Control.
Job Req ID: 56261Date: Feb 6, 2025Location:Muscat, OMEntity: Oman Tank Terminal CoBusiness Unit: OTTCODivision: FinanceCountry/Region: OM
Expected salary:
Location: Muscat
Job date: Thu, 13 Feb 2025 06:08:27 GMT
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