Develop financial forecasts to predict future revenues and expenses, adjusting strategies as necessary.
Prepare accurate and timely financial statements, including profit and loss statements, balance sheets, and cash flow statements.
Prepare accurate financial reports to provide insights to senior management, aiding in strategic initiatives such as product launches and market expansions
Monitor and manage cash flow to ensure liquidity for operational needs and capital investments
Identify and assess financial risks, including currency fluctuations, interest rate changes, and regulatory impacts
Prepare annual budgets in collaboration with all department heads and ensure alignment with strategic goals.
Prepare presentations and reports for board meetings, effectively communicating financial performance and strategic initiatives.
Analyze costs, pricing, variable contributions, sales results, and the company’s actual performance compared to the business plans.
Provide detailed financial reports monthly to shareholders, highlighting key performance indicators and strategic insights.
Coordinate with external auditors to facilitate annual audits and ensure compliance with financial regulations.
Prepare documentation and respond to inquiries related to audits and financial reviews.
Review financial data for accuracy, correctness and completeness.
Conduct periodic financial analysis to identify and resolve issues, gaps or variances.
Ensure maintenance of the general and subsidiary ledgers.
Oversee the preparation of all financial statements and invoices
Generate financial reports related to budgets, account payables, account receivables, expenses etc.
Ensure accurate calculation and distribution of salaries and other benefits to employees.
Report to CEO regarding the finances of establishment.
Assist in responding to audit inquiries.
Inventory Management Report
Ensuring that tax withheld are deposited to Government within due time
Minimum 6 years of progressive experience in finance and accounting
Hands-on experience in budget development, financial reporting, and audit preparation
Proficiency in accounting software (QuickBooks, or similar platforms)
Expertise in internal controls, financial policies, and audit procedures
Bachelor’s degree in Finance, Accounting, or Economics (Master’s or MBA preferred).
Professional certification such as ACCA, or equivalent is highly desirable.
Minimum 5–7 years of experience in financial management.
Solid understanding of corporate finance, accounting standards, tax regulations, and financial systems.
Please send your CV containing your cover letter that explains your suitability to the position at this stage certificates and other educational documents are not required
Clearly mention “Finance Manager” in your email subject line
Please note only short-listed candidates will be contacted for an interview.
Application received after deadline is not accepted
Yusra Bright is a leading pharmaceutical distributor in Afghanistan, dedicated to improving healthcare by providing high-quality, affordable medicines.
At Yusra Bright, we are more than just a distributor—we are a partner in building a healthier Afghanistan. By addressing key challenges in the healthcare supply chain and combating counterfeit medicines, we are committed to improving public health and enhancing the well-being of Afghan citizens. Through our unwavering dedication to excellence and innovation, we are making a real impact on the nation’s healthcare landscape.