Website FLOW Petroleum
Deputy General Manager FLOW Petroleum Lahore. If you are a senior finance professional looking for a high-impact leadership role where your expertise shapes corporate strategy, governance, and financial excellence, this is a positive and career-defining opportunity. FLOW Petroleum, a growing and reputable organization, is hiring a Deputy General Manager – Accounts & Finance for its Corporate Office in Lahore.
This Content-AI-optimized, in-depth job article is designed to give you a clear, complete, and practical understanding of the role—so you can confidently evaluate the opportunity and apply with clarity.
SEO Title: 12 Positive Reasons to Apply for Deputy General Manager Accounts & Finance at FLOW Petroleum in 2025
About FLOW Petroleum
FLOW Petroleum operates in Pakistan’s dynamic energy and petroleum sector, focusing on strong corporate governance, financial transparency, and sustainable growth. The organization is committed to:
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International Financial Reporting Standards (IFRS)
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Strong regulatory compliance
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Continuous digital and operational transformation
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Long-term value creation for stakeholders
Joining FLOW means becoming part of a leadership team that values integrity, strategic thinking, and financial discipline.
Position Overview
Job Title: Deputy General Manager – Accounts & Finance
Company: FLOW Petroleum
Department: Finance & Corporate Accounting
Location: Corporate Office, Lahore
Office Address:
CP 102, Commercial Fairways,
Defence Raya Golf Resort,
Sector M, DHA Phase 6, Lahore
This role reports directly to top management and plays a critical part in financial leadership, compliance, investments, and strategic decision-making.
Role Purpose & Strategic Importance
The Deputy General Manager – Accounts & Finance is responsible for leading the financial function at group level, ensuring:
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Accurate and compliant financial reporting
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Effective capital structure and funding strategies
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Robust internal controls and risk management
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Strategic financial insights for executive decisions
This is not a routine accounting role—it is a strategic finance leadership position with influence across investments, mergers, acquisitions, taxation, and digital transformation.
Key Responsibilities & Accountabilities
Below is a structured and detailed breakdown of the core responsibilities:
1. Financial Reporting & IFRS Compliance
You will:
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Prepare, review, and finalize separate and consolidated financial statements
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Ensure full compliance with IFRS and regulatory requirements
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Coordinate and manage Big 4 audit firms
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Address audit observations and strengthen internal controls
This ensures transparency, credibility, and investor confidence.
2. Investments, IPOs & Corporate Transactions
You will:
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Handle investment stakes, IPO processes, and SECP regulations
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Manage mergers, acquisitions, and restructuring activities
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Oversee due diligence, valuations, and share pricing
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Support credit rating maintenance and enhancement
Your expertise will directly support corporate growth and expansion.
3. Letters of Credit (LCs) & Trade Finance
You will:
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Manage the complete LC lifecycle:
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Opening
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Negotiation
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Retirement
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Regulatory compliance
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Liaise with banks and regulators
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Ensure adherence to foreign exchange and trade regulations
Strong LC handling ensures uninterrupted operations and supplier confidence.
4. Asset Optimization, Cost Control & Tax Efficiency
You will:
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Optimize group assets and capital utilization
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Implement strong cost control frameworks
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Lead tax planning and efficiency initiatives
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Handle tax proceedings at:
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Individual business unit level
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Group consolidated level
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This role directly contributes to profitability and cash preservation.
5. Digital Transformation & SAP Environment
You will:
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Lead finance digital transformation initiatives
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Work within SAP B1 and other ERP environments
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Support system upgrades and process automation
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Improve reporting accuracy and turnaround time
Technology-driven finance is a core expectation of this role.
6. Cash Flow, Working Capital & Fund Raising
You will:
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Manage group-level cash flows
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Oversee working capital optimization
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Lead project financing and funding arrangements
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Support internal and external fund-raising initiatives
Effective cash management ensures financial stability and growth readiness.
7. Financial Analysis, Budgeting & Forecasting
You will:
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Analyze financial data and identify key trends
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Prepare and review:
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Budgets
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Forecasts
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Long-term financial models
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Provide actionable insights to senior management
Your analysis will guide strategic and operational decisions.
8. Leadership, Governance & Stakeholder Management
You will:
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Lead and mentor senior finance teams
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Coordinate with:
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Auditors
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Banks
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Regulators
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Legal advisors
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Strengthen governance frameworks and compliance culture
This role requires maturity, leadership presence, and professional judgment.
Qualifications & Experience Requirements
Professional Qualification
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CA / ACCA / or equivalent internationally recognized qualification
Experience
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15–20 years of overall experience in accounting & finance
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7–10 years in a senior or lead role
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Experience preferred in:
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OMCS
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Multinational companies
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Renowned large organizations
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Skills & Competencies Required
Technical & Professional Skills
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IFRS and regulatory compliance expertise
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Corporate finance and transaction handling
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SAP B1 and ERP system proficiency
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Strong understanding of taxation and treasury
Leadership & Behavioral Skills
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Strategic thinking and decision-making
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Strong analytical and problem-solving skills
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Excellent communication and stakeholder management
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High ethical standards and professional integrity
Why This Is a Positive Career Opportunity
Here are 12 positive reasons why this role stands out:
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Executive-level leadership position
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Exposure to IPOs, M&A, and investments
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Strategic role in a growing energy company
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Direct influence on corporate decisions
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Big 4 audit exposure
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Advanced SAP and digital transformation work
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High-level tax and treasury responsibility
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Strong governance and compliance culture
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Competitive senior management role
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Long-term career stability
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Prestigious corporate office location
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High professional visibility and recognition
Career Growth & Long-Term Prospects
Successful candidates may progress toward:
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Chief Financial Officer (CFO)
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Group Finance Director
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Board-level advisory roles
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Strategic leadership positions within diversified business groups
FLOW Petroleum values performance, leadership, and integrity, creating long-term growth pathways.
How to Apply – Step-by-Step
📧 Send your updated CV to:
[email protected]
Application Tips
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Clearly mention Deputy General Manager – Accounts & Finance in the subject line
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Highlight experience in:
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IFRS reporting
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IPOs / M&A
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SAP environments
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LC handling and taxation
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Include leadership achievements and major projects
اردو میں رہنمائی (Urdu Guidance)
یہ ایک سینئر لیول فنانس پوزیشن ہے جو اُن پروفیشنلز کے لیے بہترین ہے جنہیں IFRS، آڈٹ، سرمایہ کاری، اور کارپوریٹ فنانس کا وسیع تجربہ ہو۔
اگر آپ 15 سے 20 سال کا تجربہ رکھتے ہیں اور لیڈرشپ رول میں کام کرنا چاہتے ہیں تو یہ موقع آپ کے لیے نہایت موزوں ہے۔
درخواست دینے کے لیے اپنی تازہ CV ای میل کریں۔
Final Thoughts
The Deputy General Manager – Accounts & Finance role at FLOW Petroleum is a powerful opportunity to lead, influence, and transform finance at a corporate level. If you are ready to take ownership of strategy, governance, and financial excellence, this position offers the platform to elevate your professional legacy.
📌 Apply now and take a confident step toward executive financial leadership.
To apply for this job please visit flowpetroleum.com.pk.
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