FIND_THE_RIGHTJOB.
We are seeking a highly accomplished and strategic Chief Financial Officer (CFO) to lead and oversee the financial operations of our companies. The ideal candidate will play a critical leadership role in driving financial excellence, ensuring regulatory compliance, and supporting long-term business growth across multiple jurisdictions.
Key Responsibilities:
Ensure the preparation of accurate, timely, and reliable financial statements, and effectively communicate financial performance, risks, and insights to stakeholders.
Oversee the preparation of financial statements in compliance with IFRS.
Partner closely with the CEO and Board of Directors to develop and execute financial strategies aligned with the strategic objectives.
Lead budgeting, forecasting, long term financial planning, and financial performance analysis.
Implement and maintain robust internal controls, manage financial risks, and ensure adherence to GAAP/IFRS and regulatory requirements.
Oversee all finance functions including accounting, treasury, taxation, payroll, accounts payable/receivable, and financial reporting.
Manage the capital structure, funding strategies, investment decisions, and provide recommendations on M&A activities.
Maintain strong relationships with investors, banks, financial institutions, and external auditors.
Build, lead, and develop high-performing finance and accounting teams
Oversee cash flow, liquidity, and working capital management.
Lead financial integration of new acquisitions and subsidiaries.
Monitor financial KPIs, profitability, cost control, and margins across all business units.
Support new market entry initiatives and expansion projects.
Lead internal and external audit processes.
Ensure compliance with tax laws, corporate regulations, and statutory requirements in all operating countries.
Oversee tax planning, compliance, and optimization strategies.
Qualifications & Experience:
Qualified CA / CPA / ACCA / CMA or MBA (Finance).
Minimum 12–15 years of progressive finance leadership experience, preferably in a or multinational environment.
Proven experience in consolidation, treasury management, and corporate finance.
Strong knowledge of IFRS, taxation, and regulatory compliance.
Experience in M&A, funding, and investor relations will be a strong advantage.
Exceptional leadership, analytical, and strategic thinking skills.
Strong communication and stakeholder management abilities.
Job Type: Full-time
Work Location: In person
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