Head of Finance and Accountancy Group

  • Date: 22 May 2018
  • Deadline: 19 June 2020
  • Work conditions: Full time
  • Location: Negotiable
Job Description
  • Direct the daily operation of Company’s finance function, including treasury, budgeting, auditing, tax, accounting, capital purchasing, investor relations, risk management, and long-range forecasting and insurance activities.
  • Provide counsel to Company’s Executive Director relating to financial and tax considerations of investments and other business transactions. 
  • Develop long-range strategies to establish and maintain the financial self-sufficiency of Company.
  • Establish Company’s accounting systems and procedures and ensures they are up-to-date and in compliance with all applicable statutory and regulatory requirements.
  • Provide advice and review for compliance with appropriate statutory and regulatory requirements.
  • Prepare and issue quarterly and annual audited financial statements and reports. 
  • Manage and track Company’s funds, assets and investments and periodically issue reports on its current as well as projected financial stability/condition. 
  • Analyze general economic, business, and financial conditions to assess their impact on Company’s policies, operations, and profitability. 
  • Establish and maintain contacts with auditors, actuaries, financial institutions, government agencies, joint venture partners, and counterparts.
  • Identifie sources of financing to expand the scope of Company’s business opportunities.
  • Negotiate project financing; structures and document financial packages and agreements.
  • To the extent possible, minimize Company’s tax liabilities.
  • Prepare a monthly written report to Company’s board of directors on the financial standing and conditions of the Company.
  • Supervise financial personnel. Has charge and responsibility for all funds and securities of Company.
  • Perform such other duties as may be assigned to him from time to time by the Executive Director or by the board of directors




  • Have more than 7-10 years of relevant work experience in a similar role
  • Bachelor's degree (or higher) in Finance and Accounting discipline
  • Experience in oil and gas industry is an advantage
  • Knowledge of SAP or other similar ERP system is an advantage
  • Good knowledge of MS Office, especially Excel
  • Proficiency in Azeri and English
  • Azerbaijan citizenship is required
  • Ability to work both individually and in a team
  • Able to handle short deadlines and multiple tasks simultaneously
  • Strong analytical and numerical abilities
  • Good communication skills
  • High integrity

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