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Finance Manager


Directly reporting to Vice Director of Operations, managing a team of 10-12 people. Manage the day-to-day financial activities of the organization, control the financial resources and ensure that all financial transactions, systems and procedures comply with regulations, accounting principles and standards. Main activities will include, but not limited to; financial analysis and reporting, taxation, , credit control, management of accounts payable and receivable, costs control, and budgeting and forecasting. To participate and advise in strategic review of the business by analyzing financial information and predict future financial trends. To ensure the accounting, financial reporting are reliable, accurate and are reported and the required deadlines. To actively lead, support and participate in relevant projects and give guidance from a financial/legal/statutory view point to the business.


  • Leading the TRTWorld’s general finance and accounting processes,
  • Leads a team having 10 – 12 employees (including Broadcast Centers)
  • Responsible for the preparation, interpretation and targeted communication of meaningful analyses and business plans to support the decision-making
  • Responsible for the supervision and control of the general accounting functions including cash flow forecast, working capital management, investment requests
  • Manages accounting, reporting and analysis including variances in actual performance vs. budgets and forecasts
  • Giving direction on and coordinating the development, implementation and optimization of new and existing controlling processes and instruments
  • Interacts with fiscal authorities, banks, related parties.
  • Compilation, analysis and evaluation of the monthly reporting and forecasting
  • Responsible for the fulfilment of local GAAP, VAT and other tax declarations and other specifications as per Turkish laws and regulations
  • Supports treasury activities


  • University degree in Business Administration, Economics, Industrial Engineering or similar fields
  • Min. 7 years of experience as a Manager in an international company,
  • CPA qualification is a must,
  •  Excellent command of both written and spoken English,
  •  Having knowledge of all accounting & finance functions and all governmental & tax regulations,
  •  Good knowledge of IFRS and accounting principles, has experience in preparing P & L, Balance Sheet and Cash Flow,
  •  Experience of annual budget and strategic 3 year business plan preparation and implementation,
  •  Strong finance background, analytical and reporting skills,
  •  Knowledge on ERP system is a plus,
  •  Excellent knowledge of MS Excel,
  •  Strong communication and negotiation skills,
  •  Business & solution orientated, ability to multi-task and meet deadlines,
  • Team player and able to work collaboratively,
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