What Jobs are available for Tax Management in Bahrain?
Showing 69 Tax Management jobs in Bahrain
Financial Controller - Management Accounting
Posted 19 days ago
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Job Description
- Oversee the preparation of monthly, quarterly, and annual financial statements in accordance with IFRS/GAAP.
- Manage the budgeting and forecasting processes, ensuring alignment with strategic business objectives.
- Develop and implement robust internal control systems to safeguard company assets and ensure financial accuracy.
- Analyze financial performance against budgets and forecasts, identifying variances and recommending corrective actions.
- Supervise and mentor the accounting team, fostering a culture of accuracy and efficiency.
- Manage cash flow, accounts payable, and accounts receivable functions.
- Ensure compliance with all local and international accounting standards and tax regulations.
- Liaise with external auditors during the annual audit process.
- Develop and maintain strong relationships with internal stakeholders, providing financial expertise and support.
- Identify opportunities for process improvement and cost optimization within the finance department.
- Bachelor's degree in Accounting or Finance. A Master's degree is a plus.
- Professional accounting qualification (e.g., ACCA, CPA, CMA) is required.
- Minimum of 5-7 years of progressive experience in accounting or financial management, with at least 2 years in a supervisory or management role.
- Strong knowledge of financial reporting standards (IFRS/GAAP).
- Proven experience in budgeting, forecasting, and financial analysis.
- Excellent understanding of internal controls and risk management.
- Proficiency in accounting software (e.g., SAP, Oracle) and advanced Excel skills.
- Strong leadership, analytical, and problem-solving abilities.
- Effective communication and interpersonal skills.
- Ability to work effectively in a hybrid environment, balancing remote and in-office responsibilities.
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Director of Financial Risk Management
Posted 2 days ago
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Director of Financial Risk Management
Posted 2 days ago
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Director of Financial Risk Management
Posted 3 days ago
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Job Description
Responsibilities:
- Develop and implement comprehensive financial risk management frameworks and policies.
- Oversee the identification, measurement, and monitoring of financial risks across the organization.
- Lead stress testing and scenario analysis to assess the impact of adverse market conditions.
- Ensure compliance with all relevant financial regulations and reporting requirements.
- Manage relationships with regulatory bodies and external auditors.
- Develop and implement risk mitigation strategies, including hedging and capital allocation.
- Provide strategic guidance and thought leadership on financial risk issues to senior management.
- Build and mentor a high-performing risk management team.
- Stay abreast of evolving financial markets, economic trends, and regulatory changes.
- Utilize advanced analytics and quantitative methods for risk assessment.
- Communicate complex risk information clearly and concisely to diverse audiences.
- Master's degree in Finance, Economics, Mathematics, or a related quantitative field.
- 10+ years of experience in financial risk management within the banking or financial services sector.
- Proven experience in managing market, credit, liquidity, and operational risks.
- Strong knowledge of financial regulations (e.g., Basel III, Dodd-Frank).
- Expertise in financial modeling, quantitative analysis, and risk management software.
- Excellent leadership, strategic thinking, and decision-making abilities.
- Exceptional communication and interpersonal skills, with the ability to influence at all levels.
- Professional certifications such as FRM, CFA, or PRM are highly desirable.
- Demonstrated ability to thrive in a remote, international work environment.
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Head of Financial Risk Management
Posted 5 days ago
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Job Description
The Head of Financial Risk Management will lead a team of risk professionals, providing guidance, mentorship, and strategic direction. You will work closely with senior management and the board of directors to ensure the firm's risk appetite is effectively managed and aligned with strategic objectives. Key responsibilities include conducting regular risk assessments, stress testing, scenario analysis, and reporting on the firm's risk profile. You will also play a crucial role in ensuring compliance with relevant regulatory requirements and industry best practices. The ideal candidate will possess a deep understanding of financial markets, complex financial instruments, and regulatory landscapes. Strong analytical skills, excellent leadership capabilities, and exceptional communication abilities are essential. A proven track record in senior risk management roles within the banking or finance industry is required. A relevant professional certification, such as FRM or PRM, is highly desirable. This position requires a strategic thinker with a proactive approach to risk management and a commitment to maintaining the financial health and integrity of the organization.
Key Responsibilities:
- Develop and implement comprehensive financial risk management strategies and policies.
- Oversee the identification, assessment, and mitigation of market, credit, liquidity, and operational risks.
- Lead and mentor the financial risk management team.
- Conduct regular risk assessments, stress testing, and scenario analysis.
- Ensure compliance with all relevant financial regulations and reporting requirements.
- Advise senior management and the board on risk-related matters.
- Foster a strong risk-aware culture throughout the organization.
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Quantitative Analyst - Financial Risk Management
Posted 5 days ago
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Head of Financial Risk Management
Posted 10 days ago
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Senior Quantitative Analyst - Financial Risk Management
Posted 2 days ago
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Job Description
Key Responsibilities:
- Develop, validate, and implement quantitative models for market risk, credit risk, and operational risk.
- Design and backtest trading strategies and hedging instruments.
- Perform complex statistical analysis, time series analysis, and financial modeling.
- Utilize programming languages such as Python, R, C++, or MATLAB for model development and implementation.
- Collaborate with traders, portfolio managers, and risk officers to understand their needs and provide quantitative solutions.
- Conduct research on new methodologies and technologies to enhance risk management capabilities.
- Prepare detailed documentation of models, methodologies, and results.
- Present complex quantitative findings to both technical and non-technical audiences.
- Ensure compliance with regulatory requirements and internal policies.
- Contribute to the development and enhancement of risk reporting frameworks.
- Identify and assess potential financial risks and propose mitigation strategies.
- Stay current with academic research and industry trends in quantitative finance and risk management.
- Mentor junior quantitative analysts and contribute to team knowledge sharing.
Qualifications:
- Advanced degree (Master's or Ph.D.) in a quantitative field such as Mathematics, Statistics, Physics, Economics, Financial Engineering, or a related discipline.
- Minimum of 7 years of experience in quantitative analysis, risk management, or a related role within the financial services industry.
- Strong programming skills in at least one of Python, R, C++, or MATLAB.
- In-depth knowledge of financial markets, derivatives, and investment products.
- Expertise in statistical modeling, econometrics, machine learning, and numerical methods.
- Experience with risk management frameworks (e.g., VaR, stress testing, scenario analysis).
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong communication and presentation skills, with the ability to explain complex concepts clearly.
- Proven ability to work independently and manage multiple projects simultaneously in a remote environment.
- Familiarity with financial databases and software (e.g., Bloomberg, Refinitiv).
This is an exceptional opportunity to join a high-performing team and contribute to the stability and success of a leading financial institution. Our client is committed to providing a supportive and productive remote work experience for its employees.
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Senior Quantitative Analyst - Financial Risk Management
Posted 2 days ago
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Senior Quantitative Analyst - Financial Risk Management
Posted 2 days ago
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Job Description
Key Responsibilities:
- Develop, implement, and validate quantitative models for financial risk assessment (market, credit, operational).
- Conduct statistical analysis, back-testing, and scenario analysis on financial portfolios.
- Generate regular and ad-hoc reports on risk exposures and model performance.
- Collaborate with business units to understand risk drivers and model assumptions.
- Ensure models comply with regulatory requirements (e.g., Basel III, IFRS 9).
- Contribute to the enhancement of risk management frameworks and methodologies.
- Stay current with academic research and industry best practices in quantitative finance.
- Utilize programming skills (Python, R, C++) for data analysis and model development.
- Provide expert advice on complex financial risk issues.
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