Finance Manager – Treasury & Reporting
CAE
وصف الوظيفة
About the role
The Finance Manager leads core finance functions, ensuring compliance with international standards and supporting strategic decision‑making. You will oversee financial operations, reporting, controls, and a team of finance professionals while partnering with senior leadership to drive performance.
Key responsibilities
- Plan, organise and manage finance operations including treasury, corporate finance, M&A and risk management.
- Develop financial plans, strategies and policies; maintain accounting, reporting policies and internal controls.
- Analyse and present financial results to support decision‑making.
- Lead internal and external audits, budgeting, forecasting and monthly closing.
- Manage a team of finance professionals and oversee accounts payable, accounts receivable and tax compliance (VAT and corporate tax).
- Manage treasury activities and cash‑flow optimisation.
Required profile
- Minimum 10 years of finance experience with managerial responsibility.
- CPA (USA) or Chartered Accountant (India) qualification.
- Strong knowledge of international financial and regulatory standards.
- Experience in financial reporting, budgeting, forecasting, consolidation and treasury operations.
- Proficiency in Microsoft Office and finance systems such as Hyperion and Oracle.
- Excellent analytical, communication and stakeholder‑management skills.
Required skills
- Forecasting
- Consolidation
- Treasury Operations
- Hyperion
- Budgeting
- Financial reporting
- Financial modelling
- Microsoft Office
- Oracle
Questions fréquentes
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اكتشف المزيد
الرواتب والأدلة وعمليات البحث في الإمارات العربية المتحدة.
الراتب: Finance Manager استنادًا إلى 52 عرض عمل في الإمارات العربية المتحدةالرواتب حسب المهنة
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CAE
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