55 Financial Controller jobs in Pakistan

Financial Controller

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Offshore Consulting

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Job Description

Hiring: Financial Controller - Pakistan

We're seeking an experienced Financial Controller to join our growing team in Pakistan. Working for a reputable US-based client, this is an excellent opportunity for a finance professional looking to take on a strategic role in a dynamic environment.

What you'll do:

  • Oversee financial reporting and compliance
  • Lead budgeting and forecasting processes
  • Manage accounting operations and month-end close
  • Ensure regulatory compliance with local standards
  • Drive financial analysis and business insights
  • Support client financial reporting requirements

What we're looking for:

  • CA/ACCA qualification or equivalent
  • 5+ years of progressive finance experience
  • Strong knowledge of local accounting standards and tax regulations
  • Advanced Excel and ERP system experience
  • Excellent communication skills in English
  • Experience with international clients preferred
  • Supply chain/manufacturing finance experience highly preferred

Why join us:

  • Competitive compensation package
  • Professional development opportunities
  • Exposure to US market operations
  • Collaborative international team environment

Ready to advance your finance career with US client exposure? Send your CV to

Hiring #FinancialController #Pakistan #Accounting #Finance #CareerOpportunity #SupplyChain #USClient
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Financial Controller

Genesis Holdings Pvt. Limited

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Job Description

Key Responsibilities:

1. Financial Operations & Reporting:

  • Lead and supervise day-to-day accounting, financial transactions, and month-end closing processes.
  • Ensure accurate and timely preparation of financial statements in compliance with IFRS and the Companies Act.
  • Present financial results, analysis, and commentary to senior management and the board.
  • Oversee general ledger, fixed assets, inventory accounting, and cost control processes.

2. Budgeting & Forecasting:

  • Lead the annual budgeting and periodic forecasting processes in collaboration with department heads.
  • Monitor actual performance against budget and provide detailed variance analysis.
  • Drive cost optimization and financial planning initiatives across the company.

3. Taxation & Compliance:

  • Ensure timely and accurate filing of all statutory tax returns (Income Tax, Sales Tax, and Withholding).
  • Monitor changes in tax laws and assess the impact on business.
  • Liaise with tax consultants and authorities for assessments, refunds, and compliance matters.

4. Audit & Internal Controls:

  • Coordinate with external auditors for annual statutory audit and quarterly reviews.
  • Ensure implementation of audit recommendations and strengthen the internal control framework.
  • Conduct periodic reviews to ensure process compliance and risk mitigation.

5. Treasury & Cash Flow Management:

  • Monitor cash flows, working capital, and ensure liquidity for operational needs.
  • Manage banking relationships, credit facilities, and debt servicing.
  • Optimize payment cycles and cash management processes.

6. Regulatory & SECP Compliance:

  • Ensure compliance with SECP listing requirements and financial disclosure obligations.
  • Coordinate timely submission of quarterly, half-yearly, and annual reports to regulators and the stock exchange.
  • Support the CFO/CEO in investor relations and shareholder communications.

7. Team Management & Leadership:

  • Lead and mentor the finance and accounts team to build a performance-driven culture.
  • Promote best practices, financial discipline, and accountability within the department.
  • Drive system automation, ERP utilization, and reporting efficiency.

Qualifications & Experience:

  • Education:
    CA qualified.
  • Experience:
    3–7 years of progressive finance experience, including 2-3 years in a leadership role in a listed or manufacturing company
  • Strong knowledge of IFRS, SECP regulations, taxation, and ERP systems
  • Demonstrated experience in financial reporting, budgeting, audits, and regulatory compliance
  • Excellent analytical, communication, and leadership skills
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Financial Controller

Lahore, Punjab Institute of Performance Management

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Job Description

  • Prepare accurate and timely monthly, quarterly, and annual financial statements.
  • Manage accounts payable, accounts receivable, general ledger, and bank reconciliations.
  • Assist in the development and monitoring of budgets and financial forecasts.
  • Oversee inventory control and costing, ensuring accuracy and efficiency.
  • Ensure compliance with all relevant accounting standards, tax regulations, and internal policies.
  • Monitor and manage cash flow, ensuring adequate liquidity.
  • Implement and maintain strong internal controls to safeguard company assets.
  • Provide financial analysis and insights to support management decision-making.
  • Assist with internal and external audits.
  • Assist with the management and maintenance of financial software.
  • CA or ACCA qualified.
  • Strong understanding of accounting principles.
  • Excellent attention to detail and accuracy.
  • Strong analytical and problem-solving skills.
  • Strong work ethic and integrity.
  • Proactive and results-driven.

Job Type: Full-time

Pay: Rs350, Rs400,000.00 per month

Work Location: In person

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Financial Controller

Halan Microfinance Bank

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Job Description

Halan Microfinance Bank Limited, one of the fastest growing digital microfinance institutions regulated by the State Bank of Pakistan, is looking for a
Financial Controller
to join our dynamic Finance Division at the Head Office, Karachi.

Role Brief:

The Financial Controller will play a key leadership role in ensuring the integrity, accuracy, and compliance of the Bank's financial reporting and controls. The position requires strong command over accounting standards, regulatory frameworks, and financial governance within the banking sector.

Key Responsibilities:

  • Oversee end-to-end financial accounting, reporting, and control functions in line with SBP regulations and IFRS.
  • Ensure timely preparation of financial statements, regulatory returns, and management reports.
  • Manage internal and external audits, ensuring compliance with all statutory and regulatory requirements.
  • Strengthen internal controls, risk management practices, and financial governance frameworks.
  • Support budgeting, forecasting, and strategic financial planning processes.
  • Liaise with regulators, auditors, and senior management on financial matters.
  • Supervise and develop the finance team, fostering a culture of accuracy, accountability, and efficiency.

Specification Criteria:

  • Minimum Bachelors and a qualified Chartered Accountant (CA) or ACCA (with relevant post-qualification experience).
  • 7–10 years of progressive experience in accounting, financial reporting, and control—preferably within the banking or financial services sector.
  • Prior leadership experience of at least 3 years in a financial institution managing teams.
  • In-depth understanding of SBP Prudential Regulations, IFRS, and Microfinance Banking frameworks.
  • Strong analytical, leadership, and communication skills.

At Halan, we are driving financial inclusion through innovation. Joining our team means contributing to a mission-driven organization that empowers individuals and businesses through accessible, technology-led financial solutions.

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Financial Controller

Secure Logistics Group (Pvt) Ltd

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Company Description

Secure Logistics Group (Pvt) Ltd (SLG) specializes in providing comprehensive logistics and vehicle fleet management services across the country. The Group has a proven track record of achieving high customer satisfaction through quality human resources, careful planning, and meticulous execution. SLG leverages a nationwide asset base and infrastructure to deliver its solutions effectively.

Role Description

This is a full-time on-site role based in Karachi for a Financial Controller. The Financial Controller will be responsible for managing financial statements, overseeing financial reporting, and ensuring accurate accounting practices. The role involves analyzing financial data to support decision-making processes, preparing detailed financial reports, and monitoring the financial health of the organization.

Qualifications

  • Strong ability in managing Financial Statements and Accounting practices
  • Advanced Analytical Skills and proficiency in Finance
  • Expertise in Financial Reporting
  • Excellent organizational and time-management skills
  • Proficiency with financial software and tools
  • Ability to work on-site and collaboratively with the finance team
  • Should be Qualified CA with 2-3 Years experience
  • Previous experience in a similar role within the logistics or fleet management sector is a plus
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Financial Controller

Domino's Pizza

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Job Description

Position: F
inancial Controller

Qualification:

BBA/MBA in Accounting, Finance, or a related field (CA or ACCA qualification a strong plus).

Experience:

Minimum 10 years of experience in a senior role, preferably within the food and beverage industry
.
Main Responsibilities:

  • Oversee financial statement preparation (P&L, balance sheet, cash flow).
  • Manage month-end closing process and ensure timely, accurate reporting.
  • Stay up-to-date on relevant accounting principles and financial regulations.
  • Develop and implement financial budgets, forecasts, and variance analyses.
  • Analyze financial data and provide insights to support strategic decision-making.
  • Manage all aspects of cash flow, including forecasting, collections, and disbursements.
  • Perform risk assessments and implement internal controls to safeguard company assets.
  • Manage relationships with external auditors and ensure compliance with regulatory requirements.
  • Lead and manage the entire finance department, ensuring efficient and accurate operations.
  • Identify and implement cost-saving measures to improve profitability.
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Financial Controller

Yango

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Job Description

Yango is looking for a results-driven Financial Controller to support accounting and local compliance, strengthen financial processes, and act as a partner to the business team.

You will be responsible for:


• Processing all accounting operations in local accounting software, from booking entries to generating financial reports


• Ensuring compliance with local government reporting requirements and tax filings


• Preparing accurate and timely financial statements in line with accounting standards and regulatory requirements


• Reconciling financial data between the local accounting system and the Group's accounting system in coordination with HQ


• Collaborating with departments and entities across the Group and contributing finance and accounting insights on corporate actions, new products, new services, and special projects


• Managing relationships with auditors, tax authorities, and other external financial partners


• Staying updated on industry trends, best practices, and relevant regulations


• Acting as a subject matter expert in accounting and finance to support current and future business initiatives

You might be a fit if you have:


• A degree in accounting from a reputable university


• A strong knowledge of the local tax code and IFRS standards


• Fluent English and the ability to communicate effectively in an international environment


• At least 7 years of experience in finance or accounting


• Experience implementing a computerized accounting system (preferred)

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Financial Controller

POTOMAC DISTRO WHOLESALE

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Job Title: Financial Controller (Night Shift – US Based Operations)

Job Description:

We are seeking a highly skilled and experienced Financial Controller to join our team for managing financial operations aligned with our US-based business. The ideal candidate will be responsible for overseeing all financial aspects of the company, ensuring compliance, accuracy, and integrity in reporting.

Working Hours:

9:00 PM to 5:00 AM (Pakistan Time) – aligned with US business hours.

Key Responsibilities:

  • Manage all accounting operations including Billing, A/R, A/P, GL, Cost Accounting, Inventory Accounting, and Revenue Recognition.
  • Prepare and publish timely monthly financial statements.
  • Coordinate the preparation of regulatory reporting and financial forecasts.
  • Ensure quality control over financial transactions and financial reporting.
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls.
  • Liaise with auditors and tax consultants to ensure appropriate monitoring of company finances.
  • Assist in budget preparation and financial planning processes.
  • Manage cash flow, forecasting, and financial risk analysis.

Requirements:

  • Bachelor's/Master's degree in Accounting, Finance, or related field (ACCA/CA/CMA preferred).
  • Proven experience (5+ years) as a Financial Controller or similar role.
  • Strong knowledge of accounting principles, regulatory standards, and financial reporting.
  • Proficiency in accounting software and MS Excel.
  • Excellent analytical, problem-solving, and decision-making skills.
  • Strong communication skills and ability to work independently.
  • Comfortable working night shifts aligned with US time zones.

Why Join Us?

  • Work with a dynamic and growing US-based organization.
  • Competitive salary and performance-based incentives.
  • Opportunity to work with international teams.
  • Supportive work culture and room for career growth.

Job Type: Full-time

Work Location: In person

Expected Start Date: 16/09/2025

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Financial Controller

Tapal Tea (Pvt.) Ltd.

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Purpose of Job:

The role of the Financial Controller is pivotal in ensuring the accuracy and timeliness of the company's financial reporting processes. The incumbent will lead the month-end and year-end closing processes, supervise internal and external audits, and prepare detailed financial analysis and statements. Additionally, the role involves forecasting cashflows, managing fixed assets, and staying updated on regulatory requirements. The Financial Reporting Manager will play a key role in identifying process improvements to enhance efficiency and accuracy, while also mentoring subordinate staff to foster a culture of collaboration and high performance.

Principle Accountabilities

  • Lead the month-end and year-end closing processes to ensure accurate and timely financial reporting.
  • Lead the preparation of monthly financial results along with detailed analysis.
  • Review the detailed analysis of monthly financial results.
  • Lead the preparation of annual financial statements of the Company (consolidated & unconsolidated).
  • Preparation of quarterly board presentation for balance sheet, cashflow & key ratio analysis.
  • Supervision over the internal and external audit for execution and timely finalization of annual audit.
  • Preparation of direct/indirect cashflows & its forecasting for business planning.
  • Preparation of balance sheet & cashflow budgets for annual operating plan.
  • Lead the fixed asset life and right of use assets cycle management.
  • Lead the forecasting of fixed and right of use assets.
  • Lead the monthly closing process of the holding company.
  • Review the competitor analysis to gauge company's performance against key players in the industry.
  • Identify opportunities for process improvements in financial reporting and implement changes to enhance efficiency and accuracy.
  • Stay abreast of changes in accounting standards, regulations and reporting requirements.
  • Ensure compliance with relevant regulatory bodies and reporting standards.
  • Mentor the subordinate staff fostering a collaborative and higher performance culture.

Experience & Qualification

  • Chartered Accountant – ICAP
  • 3 - 5 Years of post qualification experience preferrable

Competencies

  • Good knowledge of IFRS and Financial Accounting skills.
  • Excellent communication and presentation skills (spoken & written)
  • Analytical mindset: capability to analyze data to catch inconsistencies and mistakes.
  • Team player and proactive.
  • Shown skills with MS Office (excellent skills in Excel is a must).
  • Experience in SAP will be an advantage.
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Financial Controller

Karachi, Sindh BMA Investment Advisors

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Job Description

Job Role:

  • Prepare and review monthly financial reports, management accounts, and performance review packs.
  • Maintain competitor financial data and support business units with financial analysis.
  • Manage treasury operations to optimize cash reserves and minimize financial charges.
  • Support SECP reporting, trial balance finalization, and preparation of financial statements (half-yearly & annual).
  • Monitor company profitability, support strategic financial planning, and ensure data-driven recommendations.
  • Assist in board pack preparation and support internal/external audits.
  • Ensure accurate and timely tax filings (sales, withholding, payroll) and reconcile bank accounts.
  • Prepare annual budgets and perform other tasks assigned by CFO/CEO.

Selection Criteria:

  • Minimum MBA in Finance; ACCA/CA qualified candidates will be preferred
  • 8–10 years of strong and relevant experience in a brokerage or financial institution
  • Proven expertise in financial reporting, treasury management, budgeting, and regulatory compliance
  • Strong analytical skills with the ability to monitor profitability and support business decision-making
  • Experience in working with cross-functional teams and supporting senior leadership
  • Proficiency in financial systems and advanced Excel

Job Type: Full-time

Application Question(s):

  • Current Salary
  • Expected Salary

Work Location: In person

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