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Risk Management Manager (Financial Control)

Kazancı Holding

Risk Management Manager (Financial Control)

Kazancı Holding

İstanbul(Asya)(Beykoz)

İş Yerinde

İş Yerinde

Job Type

Full-Time

Years of Experience

No experience preference

Department

Risk Management

Risk Management

Application Count

133 application

Job Type

Full-Time

Years of Experience

No experience preference

Application Count

133 application

Department

Risk Management

QUALIFICATIONS AND JOB DESCRIPTION

With foundations dating back to the 1950s, Kazancı Holding is a global powerhouse, engaging in production activities on 4 continents, operating in 20 countries with more than 8,000 employees, and exporting to 173 countries around the world. Kazancı Holding ranks among the leading companies in the energy industry, with operations in energy production, electricity distribution and sales, natural gas distribution, and generator production via affiliates who are leaders in their own respective sectors.

We are looking for a highly motivated Risk Management Manager in Kavacık Office.

Responsibilities

  • End-to-end process review and risk analysis of financial reporting process
  • Developing risk-based suggestions and actions to improve all financial reporting process
  • Developing and preparing monthly performance reports of specified functions in Holding.
  • Making review of monthly closing process (Financial Management Controls);
  • Analyze and report financial risks on all group componies
  • Ensuring solid Financial Controlling, Reporting, Budgeting, Analysis and Finance Partnering processes, effective and timely performed;
  • Expediting ad-hoc requests for financial analysis from different stakeholder;
  • Liaise with the internal departments/ units to identify key financial risks and evaluate them to achieve improvements which will also help increase external customer satisfaction;
  • Build and maintain strong and effective relationship with all other related departments and units to achieve the Group’s goals/ objectives;
  • Generation and review of reports to monitor/ control the market/ liquidity risk in conjunction with Group Risk.


Qualifications

  • Having a Bachelor or Master’s Degree in Business Administration, Economics, Engineering or a related field with successful academic record,
  • 8  years of similar experience in a related position,
  • Excellent oral and written communication skills in English with the ability to interact effectively with all levels of management,
  • Strong communication and interpersonal skills with aptitude in building relationships with professionals of all organizational levels,
  • Self-confident professional, who possesses strong interpersonal skills along with sound leadership capabilities,
  • Advanced user of MS Office Applications & SAP FICO,
  • A highly motivated team worker, decision maker and initiative taker in planning and organizing various work assignments.

Preferred Candidate

Bachelor’s(Graduate), Master’s(Student), Master’s(Graduate), Doctorate(Student), Doctorate(Graduate)
Completed
English(Reading : Advanced, Writing : Advanced, Speaking : Advanced)
Class B

Risk Müdürü pozisyonu ile ilgili daha detaylı bilgi almak ya da diğer iş fırsatlarını incelemek için aşağıdaki sayfaları inceleyebilirsiniz.

Risk Müdürü Risk Müdürü Maaşları Risk Müdürü Nasıl Olunur? Risk Müdürü Nedir? Risk Müdürü İş İlanları

Production and distribution of electricity / Energy 3+

Hakkımızda

Temelleri 1950’li yıllarda atılan Kazancı Holding, enerji sektörünün lider firmalarından biridir. Grup, 1980’li yıllarda jeneratör üretimine başlamış

Şirket Sayfasına Git
Şirketin Aydınlatma Metni

KAZANCI HOLDİNG AŞ -6698 SK kapsamında İş İlişkisi Süresince İşlenen Kişisel Verilerin Korunmasına v

Detaylı Bilgi

Risk Müdürü pozisyonu ile ilgili daha detaylı bilgi almak ya da diğer iş fırsatlarını incelemek için aşağıdaki sayfaları inceleyebilirsiniz.

Risk Müdürü Risk Müdürü Maaşları Risk Müdürü Nasıl Olunur? Risk Müdürü Nedir? Risk Müdürü İş İlanları