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Finance Controller

Role Title

Finance Controller (Omani candidates only)

Reporting to

Country Head - Oman

Company

OFT Oman

Department

Finance

About the company

OFT International LLC is an innovative and dynamic start-up fintech company. We offer the heritage and stability of a hugely successful founding group combined with the unlimited ambition and passion of a talented team building intuitive, secure and convenient money management and payment tools for everyday people. Working with us presents a unique and exciting opportunity to make a difference and be part of a revolution where we are leveraging financial technology to provide accessible, empowering tools.

ROLE ACCOUNTABILITIES


Role Summary

  • Responsible for managing the end-to-end finance function for Oman operations, ensuring accurate financial reporting, regulatory compliance, cost control, and strong financial governance.
  • Independently handling accounting, month-end closures, audits, tax compliance, and business partnering.

Financial Accounting & Operations

  • Manage daily accounting activities including review, processing, and recording of payments (contractual, statutory, and operational).
  • Ensure accurate and timely booking of all financial transactions in ERP (Odoo).
  • Monitor and record daily bank transactions and perform bank reconciliations.
  • Maintain and update financial records including accruals, prepayments, and fixed asset registers.
  • Record intercompany transactions and ensure proper reconciliation.

Revenue & Cost Management

  • Oversee revenue accounting across multiple streams.
  • Manage cost of sales including gateway charges, network fees, and revenue-sharing arrangements.
  • Monitor and control operating expenses (Opex).
  • Review contractual costs and ensure accurate monthly accruals and expense recognition.

Month-End Closing & Reporting

  • Lead monthly close including revenue, accruals, prepayments, payroll, and provisions.
  • Prepare and review Trial Balance and ensure completeness of financial data.
  • Perform balance sheet reconciliations and resolve discrepancies.
  • Upload financials into group reporting systems (Cognos) as per timelines.

Financial Planning & Analysis (FP&A)

  • Prepare and maintain Budget vs Actuals tracker and analyze key variances.
  • Conduct monthly P&L analysis and provide commentary on performance.
  • Perform gross margin analysis and cost optimization insights.
  • Preparation of management reports and business review presentations.
  • Update cash flow forecasts based on daily inflows and outflows.

Compliance & Taxation

  • Ensure compliance with local regulatory requirements including VAT and withholding tax.
  • Manage VAT filings, tax provisions, and coordination with external tax consultants.
  • Support annual financial statement preparation and audit processes.
  • Liaise with auditors for statutory audits and agreed-upon procedures (AUP).

Regulatory & Group Reporting

  • Prepare regulatory reports including financial statements and capital adequacy.
  • Ensure timely submission of quarterly and annual reports to regulators.
  • Support group reporting requirements and disclosures.

Treasury & Cash Flow Management

  • Monitor cash positions and manage liquidity effectively.
  • Prepare rolling cash flow forecasts.
  • Coordinate with banks and manage banking relationships.

Capex & Fixed Asset Management

  • Manage capitalization process including CWIP to fixed asset transfers.
  • Ensure accurate depreciation accounting and fixed asset register maintenance.
  • Track capital expenditures and ensure proper approvals and documentation.

Stakeholder Management

  • Coordinate with internal teams (Operations, Tech, Procurement) for financial inputs and approvals.
  • Liaise with external stakeholders including auditors, consultants, and vendors.
  • Support business teams by resolving finance-related queries and providing insights.

Controls & Process Improvement

  • Ensure strong internal controls over financial processes and reporting.
  • Maintain and improve financial trackers and reporting mechanisms.
  • Identify process gaps and drive automation/efficiency improvements.
  • Handle ad-hoc financial analysis and business requirements.

Key Skills & Competencies

  • Experience: 5 years
  • Minimum education -degree in accounting/commerce/finance- requirement
  • Professional certifications -ACCA, CPA, CMA- strongly preferred
  • Strong knowledge of accounting principles (IFRS/GAAP)
  • Experience in fintech/payments/revenue-based business models
  • Expertise in ERP systems (preferably Odoo)
  • Strong analytical and financial modeling skills
  • Ability to independently manage end-to-end finance function
  • Stakeholder management and communication skills
  • High attention to detail and deadline-driven approach

Language Requirements

  • English proficient - requirement
  • Arabic proficient- requirement

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