Financial Accountant Jobs in UAE
654 Jobs Found
<section><p class="heading jdMain">Job Description</p><p class="heading">Roles & Responsibilities</p><div class="paragraph"><p>Finance Manager</p><p>Key responsibilities</p><ul><li><p>Review of the group‑wide consolidation of financial statements, ensuring full compliance with IFRS and real estate–specific reporting requirements.</p></li><li><p>Review and reconcile intercompany transactions, project‑level allocations, and eliminations as part of the consolidation process.</p></li><li><p>Conduct detailed variance analysis on consolidated and project‑level financial statements, highlighting trends, risks, and development‑cycle insights.</p></li><li><p>Reviewing the day to day operations of the subsidiaries and the projects SPV.</p></li><li><p>Oversee Corporate Income Tax (CIT) compliance for the real estate division.</p></li><li><p>Track and report on project level financial performance, including development budgets, construction costs, land payments, and consultant fees.</p></li><li><p>Support feasibility assessments by providing financial inputs for IRR, NPV, cash flow projections, and scenario analysis for new and ongoing developments.</p></li><li><p>Coordinate with project management, commercial, and development teams to ensure alignment be-tween financial forecasts and project progress.</p></li><li><p>Monitor escrow accounts, RERA related compliance / ADGM compliances and ensure proper accounting treatment for off plan sales, milestone based revenue, and cost to complete calculations.</p></li><li><p>Assist in the preparation of annual budgets, rolling forecasts, and long range financial plans for the re-al estate division.</p></li><li><p>Monitoring the specific projects borrowing, experiences in coordinating with banks with related to the term sheet etc.</p></li><li><p>Perform variance analysis comparing actuals to budget, highlighting deviations related to construction progress, sales performance, and financing costs.</p></li><li><p>Provide financial insights to support pricing strategies, project phasing, and capital allocation decisions.</p></li><li><p>Support internal and external audits by preparing required schedules, reconciliations, and documentations related to group consolidation, standalone financials, and project accounting.</p></li><li><p>Respond to audit queries and ensure timely closure of audit findings.</p></li></ul><br></div></section><section><p class="heading">Desired Candidate Profile</p><p class="paragraph"></p><p>Qualifications & Skills:</p><ul><li><p>Education: Bachelor’s degree in accounting, Finance, or a related field (CA, CPA, ACCA, or CMA is a must).</p></li><li><p>Experience: 5+ years of experience in real estate development</p></li><li><p>Technical Skills: Proficiency in Microsoft Excel Oracle etc.</p></li><li><p>Strong knowledge of IFRS and financial reporting standards.</p></li></ul><p></p></section>
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<p><strong>The Company:</strong></p><br><br>
<p>Almarai is the world’s largest vertically integrated dairy and the region’s largest food and beverage manufacturing and distribution company. Headquartered in the Kingdom of Saudi Arabia, Almarai Company is ranked as the #1 FMCG Brand in the MENA region and is a market leader in all its categories across the GCC. Almarai currently employs over 40,000 employees servicing some 220,000 retail outlets across GCC, Egypt and Jordan and has reported net income of SAR 2.31 billion on sales of SAR 20.97 billion in 2024. For more details, please visit our website – www.almarai.com.</p><br><br>
<p>An aggressive expansion program together with acquisitions in new vertical markets have created an exciting opportunity to join a dynamic multinational team dedicated to furthering growth plans for the group.</p><br><br>
<p><strong>About the Role:</strong></p><br><br>
<p>To provide necessary support to Divisional Finance Manager and Accounting Manager in gathering and compiling accurate financial and management accounting data to ensure that reporting deadlines are met and reports are circulated on time. </p><br><br>
<p><strong>Requirements </strong></p><br><br>
<ul>
<li>Bachelor’s Degree in Accounting</li>
<li>Good communication of English, both written and oral</li>
</ul>
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<p>WE’RE HIRING – FINANCIAL ADVISOR</p>
<p>Join our team as a Financial Advisor and help clients achieve their financial goals through proper planning and guidance.</p>
<p>Responsibilities:</p>
<p>Provide financial planning and advisory services<br />
Assess client financial needs and recommend solutions<br />
Assist in investment and savings planning<br />
Maintain client relationships and follow-ups</p>
<p>Qualifications:</p>
<p>Freshers may apply<br />
Strong communication and interpersonal skills<br />
Basic understanding of finance and investments<br />
Target-oriented and professional attitude</p>
<p>Employment Type: Full-Time<br />
Location: UAE</p>
<p>To Apply:<br />
Send your CV via WhatsApp: +971 52 945 6306</p>
<p>WE’RE HIRING – FINANCIAL ADVISOR</p>
<p>Join our team as a Financial Advisor and help clients achieve their financial goals through proper planning and guidance.</p>
<p>Responsibilities:</p>
<p>Provide financial planning and advisory services<br />
Assess client financial needs and recommend solutions<br />
Assist in investment and savings planning<br />
Maintain client relationships and follow-ups</p>
<p>Qualifications:</p>
<p>Freshers may apply<br />
Strong communication and interpersonal skills<br />
Basic understanding of finance and investments<br />
Target-oriented and professional attitude</p>
<p>Employment Type: Full-Time<br />
Location: UAE</p>
<p>To Apply:<br />
Send your CV via WhatsApp: +971 52 945 6306</p>
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<p><b>Overview Of The Role:</b></p><p><br></p><ul><li>The Sr. Financial Analyst in EV Finance UAE is tasked with supporting the Senior Financial Controller in financial planning, control, and performance analysis across AFEV operations. The primary focus is on budgeting, forecasting, month-end closing, and profitability analysis, ensuring financial controls are maintained and financial insights communicated for strategic decisions. The role is crucial for delivering timely management reporting and financial insights that aid business decisions and sustainable growth.</li></ul><p><br></p><p><b>What You Will Do:</b></p><p><br></p><p>Budgeting & Forecasting</p><p><br></p><ul><li>Prepare annual budgets and periodic forecasts for sales, aftersales, and dealership operating expenses.</li><li>Track actual performance against budget/forecast and analyze variances with clear business explanations.</li><li>Support rolling forecasts, scenario analysis, and volume-margin sensitivity analysis.</li></ul><p><br></p><p>Accounting, Controls & Compliance</p><p><br></p><ul><li>Ensure accurate accounting and financial controls across dealership branches in line with group policies and IFRS.</li><li>Review branch-level financials to ensure proper revenue recognition, cost allocation, and inventory accounting.</li><li>Support internal and external audits by providing schedules, reconciliations, and explanations.</li></ul><p><br></p><p>Month-End Closing</p><p><br></p><ul><li>Coordinate and support month-end closing activities, including accruals, provisions, and journal entries.</li><li>Prepare and review financial statements and management reports within agreed timelines.</li><li>Reconcile key balance sheet accounts related to vehicles, parts, receivables, and payables.</li></ul><p><br></p><p>Performance Evaluation & Profitability Analysis</p><p><br></p><ul><li>Analyze profitability by car model, variant, channel, and campaign, including margin bridge analysis.</li><li>Evaluate aftersales performance (service, parts, warranty, and accessories) at branch and model level.</li><li>Identify cost optimization and margin improvement opportunities across sales and aftersales operations.</li></ul><p><br></p><p>Management Reporting & Business Partnering</p><p><br></p><ul><li>Prepare monthly management reports and dashboards highlighting KPIs, trends, and risks.</li><li>Provide financial insights and recommendations to management to support strategic and operational decisions.</li><li>Act as a finance business partner to dealership operations, sales, and aftersales teams.</li></ul><p><br></p> </div><h2 class="h5">Skills</h2>
<div data-jb-field="skills"><p><b>Required Skills To Be Successful:</b></p><p><br></p><ul><li>Excellent analytical and problem-solving skills with an ability to interpret financial data.</li><li>Proficiency in financial software and advanced MS Excel capabilities.</li><li>Strong communication skills to articulate financial concepts to non-financial personnel.</li><li>In-depth understanding of IFRS and company-specific financial policies.</li></ul><p><br></p><p><b>What Qualifies You For The Role:</b></p><p><br></p><ul><li>Qualified Accountant or equivalent graduate qualification.</li><li>Minimum 4-5 years relevant experience, preferably in the automotive industry.</li><li>Strong numeracy and analytical skills with commercial awareness and leadership abilities.</li><li>Excellent communication skills, capable of directing oneself and working collaboratively in teams.</li></ul><p><br></p></div>
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About the role<p>The Story So Far: We’re Building a Global Brand in Real Estate</p><br><br><p>Huspy is one of the leading property technology companies in EMEA.</p><br><br><p>Launched in 2020, we now operate in multiple cities across the UAE and Spain, expanding into Saudi Arabia and 3 more European markets by 2026. Today, we own the largest portion of the UAE mortgage market and are one of the fastest-growing players in every European city we’ve entered.</p><br><br><p>We’ve raised over $140 million (Series A and Series B) from the world’s top investors, including Sequoia Capital and Balderton Capital, to reshape the homebuying journey through powerful technology and agent-first tools. </p><br><br><p>We’ve built a SuperApp that empowers real estate agents and mortgage brokers, bringing cutting‑edge technology to one of the world’s most traditional industries. We’re transforming how property transactions happen — faster, smarter, and better for everyone.</p><br><br><p>We’re not slowing down. The question is: will you be part of what’s next?</p><br><br><p><strong>About the role:</strong></p><br><br><p>We are looking for a Strategic Financial Analyst to join Huspy. This person will support the Finance team in budgeting, forecasting, and financial reporting while working closely with different business teams to help support the company’s growth plans. The role is ideal for someone who enjoys working in a fast-paced environment and wants exposure to strategic finance within a growing business.</p><br><br><p><strong>The Main Event: What You’ll Drive, Build, and Own</strong></p><br><br><ul><li>Support budgeting, forecasting, and financial planning across different business units and products</li><li>Track actual performance vs forecasts and assist in improving forecasting accuracy</li><li>Prepare financial reports and analysis to support business and management decision-making</li><li>Assist in maintaining accurate financial records, reports, and documentation</li><li>Support monthly reporting processes, including income statements and cash flow tracking</li><li>Work closely with business stakeholders to support planning, reporting, and operational finance activities</li><li>Assist with preparing reports and materials for leadership, investors, and other stakeholders</li></ul><br><p><strong>The Perfect Match: What It Takes to Succeed at Huspy</strong></p><br><br><ul><li>2–4 years of experience in Financial Planning & Analysis (FP&A), finance, accounting, or a related role</li><li>Experience working with financial/accounting software and Excel or Google Sheets</li><li>Basic understanding of accounting principles and financial reporting standards (IFRS knowledge is a plus)</li><li>Strong analytical and problem-solving skills</li><li>Good communication and stakeholder management skills</li><li>Ability to work independently in a fast-paced and dynamic environment</li><li>Bachelor’s degree in Finance, Accounting, Economics, or a related field</li></ul><br><p><strong>Work Setup: </strong>Hybrid in Dubai.</p><br><br><p>By submitting this application, I agree that my personal data will be collected, processed, and retained by the company solely for the purposes of managing and assessing my candidacy.</p><br><br><br> </div>
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Company Description<br><p>Ghobash Trading & Investment (GTI) is actively engaged in multi-asset class investment activities across various geographies. These activities are carried out by a highly qualified and experienced in-house team of investment professionals. The team uses an ‘Asset Allocation Matrix’ to realize risk adjusted returns on invested capital over a long-term period.</p><br><p>The Company’s investment activities include direct investments in startups, taking stakes in established businesses, acquisitions of business enterprises and setting-up new businesses through collaborative joint venture route.</p><br><p>GTI is also active in private financial investments, including private equity and debt, venture capital, real estate, and publicly listed financial investments.</p><br><br>Job Description<br><p>We are seeking a highly analytical and experienced Senior Financial Analyst to join our Group FP&A team. The ideal candidate will bring expertise in group-level financial consolidations, high-quality analysis and insights, and board-level reporting. This role also requires strong FP&A experience including budgeting, forecasting, and financial business partnering, particularly for corporate and head office functions. </p><br><p><strong>Key Responsibilities:</strong></p><br><p><strong>Group-Level Consolidation & Analysis</strong></p><br><ul><li>Consolidate financial results across business units and geographies to deliver an accurate and timely Group view.</li><li>Analyze business unit submissions to ensure consistency and integrity of group-wide financials.</li><li>Identify key performance drivers, risks, and opportunities at a Group level.</li></ul><p><strong>Board & Executive Reporting</strong></p><br><ul><li>Prepare monthly and quarterly financial reports and presentations for the Board of Directors and Executive Committee.</li><li>Develop high-impact management dashboards, KPI tracking tools, and variance analyses with narrative insights.</li><li>Support investor relations, CEO/CFO office, and strategy teams with ad-hoc financial insights.</li></ul><p><strong>Financial Planning & Budgeting</strong></p><br><ul><li>Lead the annual budgeting and periodic forecasting process for Group consolidated financials.</li><li>Provide planning and analysis support for head office functions (e.g., HR, IT, Legal, Corporate Communications).</li><li>Track and report performance against plans, ensuring early identification of variances and action points.</li></ul><p><strong>Business Partnering</strong></p><br><ul><li>Act as a finance partner to Group function heads, supporting cost management, project analysis, and value creation initiatives.</li><li>Provide financial input for cross-functional strategic projects and corporate initiatives.</li><li>Collaborate with business units’ finance teams to ensure alignment and improve forecasting accuracy.</li></ul><p><strong>Continuous Improvement & Systems</strong></p><br><ul><li>Contribute to the enhancement of FP&A processes, models, and tools across the Group.</li><li>Work closely with IT and data teams to streamline financial systems and reporting platforms.</li><li>Support integration and onboarding of new businesses into group FP&A processes, where applicable.</li></ul><br>Qualifications<br><ul><li>Bachelor's degree in Finance, Accounting, or related field</li><li>CPA/CA/CMA/MBA is a strong advantage.</li><li>6–10 years of experience in FP&A, including at least 3 years in a Group FP&A or corporate finance role within a diversified or multi-entity organization.</li></ul><br>Additional Information<br><ul><li>Strong expertise in financial consolidations and inter-company structures.<strong></strong></li><li>Exceptional analytical and financial modeling skills.</li><li>Advanced Excel and PowerPoint skills; experience with BI/reporting tools (e.g., Power BI, Tableau) and ERP systems (e.g., Oracle, SAP, Hyperion) is preferred.</li><li>Strong business acumen and communication skills with the ability to influence senior stakeholders.</li><li>Highly organized, detail-oriented, and capable of handling multiple priorities under tight deadlines.</li><li>Self-starter with a proactive and collaborative approach.</li></ul><br><br> </div>
<p>A highly skilled and experienced Financial Manager is required to oversee financial planning, budgeting, reporting, and overall financial operations. The selected candidate will play a key leadership role in managing financial performance, ensuring compliance, and supporting strategic business decisions for sustainable growth.</p>
<p>Key Responsibilities:</p>
<p>Oversee financial planning, budgeting, and forecasting activities<br />
Prepare and analyze financial reports and statements for management<br />
Monitor company cash flow, expenses, and profitability<br />
Ensure compliance with financial regulations and internal policies<br />
Manage accounting operations and financial controls<br />
Support strategic decision-making with financial insights<br />
Coordinate with auditors, banks, and external stakeholders<br />
Identify cost-saving and revenue improvement opportunities<br />
Requirements:<br />
Bachelor’s degree in Finance, Accounting, or related field (Professional certification is an advantage)<br />
Proven experience in financial management or senior accounting role<br />
Strong knowledge of financial reporting and analysis<br />
Excellent leadership and decision-making skills<br />
Proficiency in accounting software and MS Excel<br />
Strong analytical and problem-solving abilities<br />
Benefits Offered by the Company:</p>
<p>The company provides a competitive employment package designed to support employee well-being, professional growth, and long-term career stability. Selected candidates will receive a professional working environment with opportunities for learning and development.</p>
<p>Competitive salary package<br />
Accommodation and transportation provided by the company<br />
Medical insurance coverage<br />
Paid annual leave and public holidays<br />
Overtime compensation (as applicable)<br />
Career growth and leadership opportunities<br />
Supportive and professional work environment</p>
<p>Application Details:<br />
Email: aljamalproject.development@gmail.com</p>
<p>A highly skilled and experienced Financial Manager is required to oversee financial planning, budgeting, reporting, and overall financial operations. The selected candidate will play a key leadership role in managing financial performance, ensuring compliance, and supporting strategic business decisions for sustainable growth.</p>
<p>Key Responsibilities:</p>
<p>Oversee financial planning, budgeting, and forecasting activities<br />
Prepare and analyze financial reports and statements for management<br />
Monitor company cash flow, expenses, and profitability<br />
Ensure compliance with financial regulations and internal policies<br />
Manage accounting operations and financial controls<br />
Support strategic decision-making with financial insights<br />
Coordinate with auditors, banks, and external stakeholders<br />
Identify cost-saving and revenue improvement opportunities<br />
Requirements:<br />
Bachelor’s degree in Finance, Accounting, or related field (Professional certification is an advantage)<br />
Proven experience in financial management or senior accounting role<br />
Strong knowledge of financial reporting and analysis<br />
Excellent leadership and decision-making skills<br />
Proficiency in accounting software and MS Excel<br />
Strong analytical and problem-solving abilities<br />
Benefits Offered by the Company:</p>
<p>The company provides a competitive employment package designed to support employee well-being, professional growth, and long-term career stability. Selected candidates will receive a professional working environment with opportunities for learning and development.</p>
<p>Competitive salary package<br />
Accommodation and transportation provided by the company<br />
Medical insurance coverage<br />
Paid annual leave and public holidays<br />
Overtime compensation (as applicable)<br />
Career growth and leadership opportunities<br />
Supportive and professional work environment</p>
<p>Application Details:<br />
Email: aljamalproject.development@gmail.com</p>
<ul><li>Assist in processing accounts payable and receivable, ensuring accurate and timely recording of transactions for PNG operations.</li><li>Support the preparation of monthly financial reports and reconciliations, highlighting variances and providing initial analysis.</li><li>Help manage petty cash and petty cash reimbursements, adhering to company policies and local regulations.</li><li>Contribute to the month-end closing process by performing assigned tasks and ensuring data integrity.</li><li>Assist in the preparation of payroll data and related statutory remittances in compliance with PNG employment laws.</li><li>Maintain organized and accurate financial records and filing systems, both physical and digital.</li><li>Support audit preparations by gathering requested documentation and responding to inquiries.</li><li>Process expense claims and ensure compliance with the company's travel and expense policy.</li><li>Provide basic support for budgeting and forecasting activities, as directed by senior finance staff.</li><li>Assist in ensuring adherence to internal financial controls and procedures relevant to PNG operations.</li></ul><p><strong>Desired Candidate Profile</strong></p><ul><li>Possesses a Bachelor's degree in Accounting, Finance, or a related business field from a recognized institution.</li><li>Proficient in Microsoft Excel for data analysis and financial modeling, with a keen eye for detail.</li><li>Experience with accounting software packages (e.g., MYOB, QuickBooks, SAP) is a significant plus.</li><li>Strong analytical and problem-solving skills to identify and resolve discrepancies.</li><li>Ability to work effectively both independently and as part of a team in a dynamic environment.</li><li>High level of integrity, professionalism, and a commitment to maintaining confidentiality.</li></ul>
<p>For over seven decades, Chalhoub Group has been a partner and creator of luxury experiences in the Middle East. In its pursuit to excel as a hybrid luxury retailer, the Group has curated a portfolio of over 10 owned brands and strengthened its distribution and marketing expertise for over 400 international names across luxury fashion, beauty, jewellery, watches, eyewear, and art de vivre categories.</p>
<p>Every step at Chalhoub Group is taken to build a future where luxury dreams become reality — bridging cultures and crafting memorable experiences for our consumers. Be it by constantly reinventing itself, committing to innovation, or embracing new technologies, the Group is shaping the future of luxury retail. It delivers seamless omnichannel experiences across more than 950 stores, online platforms, and mobile apps. Driving this innovation journey is The Greenhouse — the Group’s innovation hub, incubator, and accelerator for startups and emerging businesses, regionally and globally.</p>
<p>Chalhoub Group fosters a people-at-heart culture rooted in diversity, equity, and inclusion, and a workplace catalysed by forward thinking and future-proofing. Today, it brings together over 16,000 talented professionals across eight countries in the Middle East, with a presence in LATAM. Their collective efforts have earned the Group the Great Place to Work® certification in several markets.</p>
<p>Sustainability is at the core of the Group’s strategy, guided by a clear commitment to people, partners, and the planet. Chalhoub Group is proud to be a member of the United Nations Global Compact, a signatory of the Women’s Empowerment Principles, and to have pledged to reach Net Zero by 2040.</p>
<h4>What you’ll be doing</h4>
<p>Tanagra is looking for a detail-oriented finance trainee to support the team across key reporting, data consolidation, and month-end closing activities within a fast-paced retail environment. This opportunity is designed to provide hands-on exposure to core finance operations while building strong analytical and organizational skills.</p>
<p>Under the guidance of the Finance team, you will:</p>
<ul>
<li>Support the month-end closing process, including reconciliations and data validation</li>
<li>Assist in preparing financial reports, presentations, and consolidated data trackers</li>
<li>Support financial monitoring and reporting activities using Excel and PowerPoint</li>
<li>Help organize and maintain accurate financial data with strong attention to detail</li>
<li>Assist the team with day-to-day finance coordination and ad-hoc reporting tasks</li>
<li>Contribute to ongoing finance initiatives and process improvements where needed</li>
</ul>
<h4>What you’ll need to succeed</h4>
<ul>
<li>Currently pursuing or recently completed a degree in Finance, Accounting, Business Administration, or a related field</li>
<li>Basic understanding of finance and accounting principles</li>
<li>Strong proficiency in Microsoft Excel and PowerPoint</li>
<li>Strong attention to detail and ability to handle data accurately</li>
<li>Well-organized with the ability to manage tasks efficiently</li>
<li>Motivated, proactive, and eager to learn within a team environment</li>
</ul>
<h4>What the group can offer</h4>
<p>With us, you will turn your aspirations into reality. We will help shape your journey through enriching experiences, learning and development opportunities and exposure to different assignments within your role or through internal mobility. Our Group offers diverse career paths for those who are extraordinary, every day.</p>
<p>We recognise the value that you bring, and we strive to provide a competitive benefits package which includes health care, child education contribution, remote and flexible working policies as well as exclusive employee discounts.</p>
<h4>Emirati talent & inclusive opportunities</h4>
<p>At Chalhoub Group, we are committed to empowering UAE Nationals and fostering local talent as part of our vision for a thriving workforce. We welcome applications from Emirati candidates who are eager to grow, innovate, and contribute to the success of our organization. Our commitment to diversity and inclusion ensures equal opportunities for all, regardless of gender, age, race, religion, or ability.</p>
<p>Position Title: Finance Executive
Employment Type: Full Time
Salary AED: up to 10,000 inclusive depending on experience and qualifications
Job Location: Dubai, UAE
About the Client:
A leading diversified business groups, delivering innovative engineering, energy, infrastructure, technology, and industrial solutions globally.
Job Description:
• Independently manage end-to-end accounting, auditing, financial reporting, and MIS preparation for both Free Zone and Mainland entities while ensuring compliance with UAE accounting standards.
• Oversee all local and international banking operations, including multi-currency fund transfers, treasury functions, SWIFT payments, Letters of Credit (LCs), bank guarantees, and bank reconciliations.
• Ensure full compliance with UAE VAT, Corporate Tax, and other financial regulations while coordinating with local authorities and government agencies on regulatory matters.
• Build and maintain strong relationships with domestic and international financial institutions, monitor foreign exchange exposure, and support cross-border transactions and treasury activities, with knowledge of the Iraqi banking market considered an advantage.</p><p>• Bachelor’s degree in finance, Accounting, or a related field; MBA, CPA, ACCA, CMA, CA, or other relevant professional finance qualification is mandatory.
• Minimum 8 years of UAE/GCC experience in finance, accounting, treasury, or financial management.
• Strong knowledge of financial reporting, budgeting, treasury management, banking operations, UAE VAT, Corporate Tax, and regulatory compliance.
• Must have experience managing local and international banking operations, including multi-currency transactions, SWIFT payments, Letters of Credit (LCs), bank guarantees, and treasury functions.</p>
<p>Position Title: Finance Executive
Employment Type: Full Time
Salary AED: up to 10,000 inclusive depending on experience and qualifications
Job Location: Dubai, UAE
About the Client:
A leading diversified business groups, delivering innovative engineering, energy, infrastructure, technology, and industrial solutions globally.
Job Description:
• Independently manage end-to-end accounting, auditing, financial reporting, and MIS preparation for both Free Zone and Mainland entities while ensuring compliance with UAE accounting standards.
• Oversee all local and international banking operations, including multi-currency fund transfers, treasury functions, SWIFT payments, Letters of Credit (LCs), bank guarantees, and bank reconciliations.
• Ensure full compliance with UAE VAT, Corporate Tax, and other financial regulations while coordinating with local authorities and government agencies on regulatory matters.
• Build and maintain strong relationships with domestic and international financial institutions, monitor foreign exchange exposure, and support cross-border transactions and treasury activities, with knowledge of the Iraqi banking market considered an advantage.</p><p>• Bachelor’s degree in finance, Accounting, or a related field; MBA, CPA, ACCA, CMA, CA, or other relevant professional finance qualification is mandatory.
• Minimum 8 years of UAE/GCC experience in finance, accounting, treasury, or financial management.
• Strong knowledge of financial reporting, budgeting, treasury management, banking operations, UAE VAT, Corporate Tax, and regulatory compliance.
• Must have experience managing local and international banking operations, including multi-currency transactions, SWIFT payments, Letters of Credit (LCs), bank guarantees, and treasury functions.</p>
<p>This role sits within the finance function of a regional headquarters in Dubai and supports the day-to-day financial operations of multiple operating and holding entities. The position plays a key role in maintaining accurate books, supporting reporting cycles, and ensuring compliance across jurisdictions, while working closely with senior finance leadership in the UAE.
Client Details
Our client is a diversified international group operating across emerging and established markets, with a strong presence in natural resources and industrial sectors. The business manages multiple operating companies and offshore holding structures, with a central finance team based in the UAE overseeing governance, reporting, and compliance.
Description
· Manage full bookkeeping activities for multiple operating companies and offshore holding entities using ERP or accounting systems
· Prepare monthly management accounts including profit and loss, balance sheet and cash flow statements with clear variance analysis
· Perform intercompany reconciliations across group entities and ensure balances are agreed, documented and cleared on a timely basis
· Reconcile trade transactions including purchase and sales invoices, shipping documentation and payment records
· Handle daily banking activities such as payments, receipts, bank reconciliations and coordination with UAE banks
· Monitor cash positions and flag liquidity requirements to senior finance stakeholders
· Coordinate annual statutory audits by preparing schedules, supporting documentation and responding to audit queries
· Support UAE VAT returns, Corporate Tax calculations and Economic Substance filings in line with regulatory deadlines
· Liaise with international finance teams to collate data for transfer pricing documentation
· Maintain books for offshore holding entities including loan transactions, interest accruals and equity movements
· Track regulatory filings, licence renewals and compliance deadlines across all assigned entities
· Support a growing finance function with evolving processes in a multi?jurisdictional environment
Job Offer
· Exposure to a complex international group with multi?country operations
· Opportunity to work closely with senior finance leadership based in Dubai
· Broad role covering operations, compliance, reporting and international coordination
· Fast paced environment with scope to grow alongside the business</p><p>· Candidates must be based in the UAE
· 3 to 6 years of total finance and accounting experience
· Bachelor's degree in accounting, Finance or Business
· Part qualified or qualified professional certifications are advantageous
· Strong hands-on bookkeeping and general ledger experience
· Proven exposure to UAE VAT and Corporate Tax filings
· Experience supporting external audits
· Working knowledge of ERP or accounting systems such as Tally, Zoho, QuickBooks or SAP
· Experience working with multiple entities across different jurisdictions
· Multi-entity consolidation experience is a bonus
· Working knowledge of IFRS is preferred</p>
<p>This role sits within the finance function of a regional headquarters in Dubai and supports the day-to-day financial operations of multiple operating and holding entities. The position plays a key role in maintaining accurate books, supporting reporting cycles, and ensuring compliance across jurisdictions, while working closely with senior finance leadership in the UAE.
Client Details
Our client is a diversified international group operating across emerging and established markets, with a strong presence in natural resources and industrial sectors. The business manages multiple operating companies and offshore holding structures, with a central finance team based in the UAE overseeing governance, reporting, and compliance.
Description
· Manage full bookkeeping activities for multiple operating companies and offshore holding entities using ERP or accounting systems
· Prepare monthly management accounts including profit and loss, balance sheet and cash flow statements with clear variance analysis
· Perform intercompany reconciliations across group entities and ensure balances are agreed, documented and cleared on a timely basis
· Reconcile trade transactions including purchase and sales invoices, shipping documentation and payment records
· Handle daily banking activities such as payments, receipts, bank reconciliations and coordination with UAE banks
· Monitor cash positions and flag liquidity requirements to senior finance stakeholders
· Coordinate annual statutory audits by preparing schedules, supporting documentation and responding to audit queries
· Support UAE VAT returns, Corporate Tax calculations and Economic Substance filings in line with regulatory deadlines
· Liaise with international finance teams to collate data for transfer pricing documentation
· Maintain books for offshore holding entities including loan transactions, interest accruals and equity movements
· Track regulatory filings, licence renewals and compliance deadlines across all assigned entities
· Support a growing finance function with evolving processes in a multi?jurisdictional environment
Job Offer
· Exposure to a complex international group with multi?country operations
· Opportunity to work closely with senior finance leadership based in Dubai
· Broad role covering operations, compliance, reporting and international coordination
· Fast paced environment with scope to grow alongside the business</p><p>· Candidates must be based in the UAE
· 3 to 6 years of total finance and accounting experience
· Bachelor's degree in accounting, Finance or Business
· Part qualified or qualified professional certifications are advantageous
· Strong hands-on bookkeeping and general ledger experience
· Proven exposure to UAE VAT and Corporate Tax filings
· Experience supporting external audits
· Working knowledge of ERP or accounting systems such as Tally, Zoho, QuickBooks or SAP
· Experience working with multiple entities across different jurisdictions
· Multi-entity consolidation experience is a bonus
· Working knowledge of IFRS is preferred</p>
<section><p class="heading jdMain">Job Description</p><p class="heading">Roles & Responsibilities</p><div class="paragraph"><ul><li>Develop and execute a comprehensive content strategy aligned with financial objectives and target audience needs.</li><li>Create, edit, and publish high-quality, accurate, and engaging financial content across various platforms, including blog posts, articles, white papers, and social media.</li><li>Conduct thorough research on financial markets, economic trends, and regulatory changes to ensure content relevance and authority.</li><li>Collaborate with subject matter experts (SMEs), including financial analysts and advisors, to translate complex financial concepts into accessible and understandable content.</li></ul></div></section><section><p class="heading">Desired Candidate Profile</p><p class="paragraph"></p><ul><li>Bachelor's degree in Finance, Economics, Marketing, Communications, or a related field.</li><li>Proven experience (3+ years) in financial content creation, marketing, or a similar role.</li><li>Strong understanding of financial markets, investment principles, and regulatory frameworks.</li><li>Exceptional writing, editing, and proofreading skills with a keen eye for detail and accuracy.</li></ul><p></p></section>
<h2 class="h5">Job description</h2>
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<p><span>We are seeking a highly motivated <strong>Financial Planning & Analysis (FP&A) Analyst</strong> to join our dynamic finance team. This role plays a key part in driving strategic decision-making by delivering insightful financial analysis, forecasting, and budgeting support.</span></p><br><p><span>The ideal candidate has a strong </span><span><span>understanding</span></span><span> of retail performance dynamics, combined with a passion for the luxury industry and a sharp analytical mindset.</span></p><br><p><span>Reporting to the <strong>FP&A Manager</strong>, the role partners closely with regional stakeholders, including Market Leaders and cross-functional teams across Marketing, HR, Supply Chain, Retail, Merchandising, and Store Planning.</span></p><br><p><span><strong>Key Responsibilities</strong></span></p><br><ul><li><span>Prepare weekly and monthly analysis of retail performance in close collaboration with Retail leadership</span></li><li><span>Support the preparation of annual budgets and rolling forecasts</span></li><li><span>Conduct monthly P&L reviews, identifying risks, opportunities, and variances versus budget</span></li><li><span>Partner with HR to analyse and explain payroll-related costs</span></li><li><span>Prepare and monitor accruals, ensuring alignment with budget and accounting accuracy</span></li><li><span>Extract, track, and analyse key cost drivers across the business</span></li><li><span>Develop and maintain the marketing cost tracker in coordination with stakeholders</span></li><li><span>Coordinate monthly sales target setting across regions</span></li><li><span>Prepare and calculate retail commission schemes accurately and on time</span></li><li><span>Support Capex tracking in collaboration with Store Planning teams</span></li><li><span>Conduct regular store visits to ensure financial compliance and operational alignment</span></li><li><span>Support the Finance Director on ad hoc projects and strategic initiatives</span></li><li><span>Maintain and document finance policies and procedures to strengthen controls and governance</span></li></ul><p><span><strong>Qualifications & Experience</strong></span></p><br><p><span><strong>Required</strong></span></p><br><ul><li><span>Master’s degree in Finance, Business, Economics, or related field</span></li><li><span>3–5 years of post-qualification experience, ideally within retail and/or luxury environments</span></li><li><span>Strong communication, interpersonal, and organisational skills</span></li><li><span>High level of attention to detail and analytical capability</span></li><li><span>Advanced proficiency in Microsoft Office (Excel, Word, PowerPoint)</span></li><li><span>Ability to perform effectively in a fast-paced, dynamic environment</span></li><li><span>Demonstrated track record of process improvement or automation initiatives</span></li></ul><p><span><strong>Preferred</strong></span></p><br><ul><li><span>Experience with JD Edwards</span></li><li><span>Exposure to Hyperion or similar planning systems</span></li><li><span>Programming or database skills (e.g. SQL, VBA, or similar)</span></li><li><span>Experience using Power BI or other data visualisation tools</span></li></ul><br> </div>
<section><p class="heading jdMain">Job Description</p><p class="heading">Roles & Responsibilities</p><div class="paragraph"><p><strong>Talents Tide is looking for a Senior Executive Financial Reporting ( Emirati) for its client in Dubai – Government Entity</strong></p><p><br></p><p><strong>Job Purpose</strong></p><p>To lead, plan, and coordinate all management accounting and financial reporting functions for the business unit, while overseeing financial analysis to support strategic decision-making and cost optimization. The role also carries out accounting and reporting activities in compliance with applicable regulations and standards.</p><p><br></p><p><strong>Key Responsibilities</strong></p><p><strong>General Management</strong></p><ul><li><p>Ensure Management Accounting & Reporting objectives are achieved in line with annual business plans, policies, and procedures.</p></li><li><p>Execute accounting and reporting activities as directed by the reporting manager.</p></li><li><p>Manage departmental budgets, revenue, expenses, and capital expenditure processes.</p></li></ul><p><br></p><p><strong>Financial Management & Control</strong></p><ul><li><p>Monitor and manage business unit budgets, including additions, transfers, and reductions.</p></li><li><p>Consolidate budgets (revenue & expenses) and coordinate with central finance for amendments and finalization.</p></li><li><p>Handle revenue accounting for leasing (in line with IFRS 16) and licensing activities.</p></li><li><p>Perform GL reconciliations and prepare supporting schedules at period-end.</p></li><li><p>Analyze GL accounts to ensure accurate recording of transactions and rectify discrepancies.</p></li><li><p>Coordinate period-end adjustments and accrual entries to comply with accounting principles.</p></li><li><p>Execute monthly and year-end closing cycles.</p></li><li><p>Ensure reporting structures comply with International Financial Reporting Standards (IFRS).</p></li><li><p>Prepare and present monthly vacancy/occupancy performance reports.</p></li><li><p>Review cost allocations and allocation methodologies.</p></li><li><p>Develop and implement financial policies and guidelines to ensure compliance and best practices.</p></li></ul><p><br></p><p><strong>Data Collection, Analysis & Reporting</strong></p><ul><li><p>Collect and consolidate financial data from business units.</p></li><li><p>Conduct feasibility studies and financial assessments for proposed and ongoing projects.</p></li><li><p>Analyze budget variances and recommend cost optimization measures.</p></li><li><p>Prepare monthly and annual financial statements and reports for senior management.</p></li><li><p>Perform end-to-end revenue and expense analysis and reconciliation.</p></li><li><p>Manage internal and external audit processes related to financial reporting.</p></li><li><p>Provide financial analysis and feasibility studies for pricing changes, new services, and incentives.</p><p><br></p></li></ul></div></section><section><p class="heading">Desired Candidate Profile</p><p class="paragraph"></p><p><strong>Requirements</strong></p><ul><li><p>Bachelors degree in Finance, Accounting, or related field.</p></li><li><p>Strong knowledge of IFRS (including IFRS 16) and financial reporting standards.</p></li><li><p>Proven experience in budgeting, financial consolidation, GL reconciliation, and financial analysis.</p></li><li><p>Experience in managing audits and coordinating with central finance functions.</p></li><li><p>Strong analytical, reporting, and stakeholder management skills.</p></li></ul><br><p>Qualified candidates with strong financial reporting and management accounting experience within large organizations are encouraged to apply.</p><p></p></section>
<h2 class="h5">Job description</h2>
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<span><span><span><span>We are seeking a driven, customer focused Finance & Insurance Agent to join our team. This role is responsible for managing the end-to-end finance and insurance journey, ensuring customers receive the best financing and insurance solutions while delivering a seamless vehicle purchasing experience.</span></span></span><br><span><span><span>You will collaborate closely with banks, insurance providers, sales teams, and internal stakeholders to maximize finance approvals, improve conversion rates, and provide exceptional customer service.</span></span></span><br><b><span><span>Key Responsibilities:</span></span></b><br></span><ul><li><span><span>Manage the complete finance process, from customer application through vehicle delivery.</span></span></li><li><span><span>Evaluate customer profiles and recommend the most suitable financing solutions.</span></span></li><li><span><span>Prepare and submit finance applications to banking partners, ensuring all required documentation is complete and accurate.</span></span></li><li><span><span>Proactively follow up with banks to expedite approvals, and LPO issuance.</span></span></li><li><span><span>Present finance, insurance, and ancillary products in a clear and consultative manner.</span></span></li><li><span><span>Achieve finance, insurance, and product penetration targets while maintaining a customer-first approach.</span></span></li><li><span><span>Ensure full compliance with internal policies, banking requirements, and regulatory standards.</span></span></li><li><span><span>Build and maintain strong relationships with banking and insurance partners.</span></span></li><li><span><span>Work cross functionally with Sales, Operations, Delivery, and Customer Experience teams to ensure a smooth customer journey.</span></span></li><li><span><span>Stay informed about market trends, lender policies, financing programs, and insurance offerings.</span></span><br></li></ul><br><span>Requirements<b><span><span>Skills and Qualifications:</span></span></b><br></span><ul><li><span><span>Bachelor's degree in Business Administration, Finance, or a related field is preferred.</span></span></li><li><span><span>Minimum of 2 years of experience in automotive finance, banking, or financial services.</span></span></li><li><span><span>Previous experience with a UAE bank handling auto finance or within an automotive Finance & Insurance department is highly preferred.</span></span></li><li><span><span>Strong knowledge of vehicle finance products, lending policies, and credit assessment.</span></span></li><li><span><span>Solid understanding of UAE Central Bank regulations, compliance requirements, and the latest regulatory updates related to automotive finance. </span></span></li><li><span><span>Experience working with multiple banking and insurance partners.</span></span></li><li><span><span>Excellent communication, negotiation, and relationship building skills.</span></span></li><li><span><span>Strong organizational skills with the ability to manage multiple cases simultaneously.</span></span></li><li><span><span>Customer focused with a results driven mindset.</span></span></li><li><span><span>Proficiency in Microsoft Office and CRM systems.<br></span></span></li></ul><b><span><span>Preferred Qualifications:</span></span></b><br><ul><li><span><span>Experience with UAE automotive financing products and banking policies.</span></span></li><li><span><span>Good understanding of AECB reports, loan structuring, and automotive insurance products.</span></span></li><li><span><span>Established relationships with UAE banks or financial institutions are an advantage.</span></span></li></ul><br><span>Benefits</span><ul><li><span><span>Competitive salary with attractive performance based incentives.</span></span></li><li><span><span>Opportunities for professional growth and career development.</span></span></li><li><span><span>A collaborative, fast paced, and dynamic work environment.</span></span></li><li><span><span>Continuous learning and development opportunities.</span></span></li><li><span><span>The opportunity to work with leading banking and insurance partners in the UAE automotive industry.</span></span><br></li></ul><span><span><span><span>Do you want to be part of this story?</span></span><b><span><span>Apply now!</span></span></b></span></span><br><br> </div>
Job Description<br><br>What if you could shape a career as unique as you?<br><br>At WSP, you can always find opportunities to grow and do what matters to you. Make the most of our global reach to discover new challenges and chances to work with diverse, talented individuals who will help you expand your horizons.<br><br>WSP in the Middle East is seeking a Financial Analyst to join our team in Dubai / Sharjah, working in close coordination with the Financial Consolidation Manager, and the wider finance team for Middle East. This role involves review of Business Performance, consolidation of Budgets and Forecasts, performing variance analysis and assisting the Central Finance and Commercial Finance team in critical decision making.<br><br>Responsibilities<br><br> Provide analytical and consolidation support for WSP Middle East, including monthly management reporting with review of performance by business unit, Country and the Entity level. Help the business identify key drivers of performance along with risk and opportunity assessments. Analyze Major Projects, consolidated KPI metrics – Management Reports / Monthly & Quarterly Business packs. Provide support in Implement tools and strategies to translate raw data into valuable business insights. Support budgeting and quarterly forecasting exercises. Provide support in Balance Sheet review for Internal control, Governance and Audits. <br><br><br>Qualifications<br><br> CFA/CPA/CA with at least 3-4 years of experience in Financial Planning and Analysis, preferably in Professional Services / Consulting / Engineering industry. Good communication and report writing skills. Solid applied understanding of general financial analysis concepts. Strong technical, analytical and systems skills; experience with Oracle, good working knowledge of Microsoft Excel and reporting consolidation tools like Hyperion. Analytical and detail-oriented. Exceptional organizational skills and ability to prioritize. <br><br><br>Imagine a better future for you and a better future for us all.<br><br>Work on landmark projects around the world and embrace opportunities to make an even bigger impact in the communities you care about. What if you could do the best work of your life and create a legacy for yourself?<br><br>With us, you can. Apply today.