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Financial Controller.

aalawa.com
Dubai, United Arab Emirates
Posted 1 month ago
24People have clicked1 open position
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Job Description

Job Description: Financial Controller. 

Location- United Arab Emirates. (Dubai)

Company Description: The Company of our client is expanding into international partnerships. The company has entered into agreements with various global energy companies to collaborate on projects and broaden its reach in the international energy market. Therefore, the Company is looking to employ talents with international experience, high tolerance, and emotional intelligence.

Team: Local international Team 1-20 employees

Reporting to: Finance Director of the Company. 

Position Overview:
The Financial Controller plays a pivotal role in overseeing the financial operations and ensuring the accuracy and integrity of financial reporting within the organization. Reporting to Finance Director the Financial Controller is responsible for managing budgeting, financial controlling, and management reporting processes. This role requires a strong understanding of financial principles and regulations, as well as the ability to collaborate effectively with various stakeholders across the organization. The Financial Controller will contribute to the development and implementation of financial strategies and policies to support the company's growth objectives. Additionally, the Financial Controller will be part of the team and provide guidance to ensure adherence to internal controls and compliance standards. Overall, this position is instrumental in providing strategic financial insights and driving informed decision-making at all levels of the organization.


RequirementsParticipate in the budgeting process: gather and analyze data for budget preparation, input data into information systems, monitor budget execution.
Ensure completeness and accuracy of transaction reflection in information systems during period closing (in own area of responsibility).
Participate in management reporting: gather and process information for input into internal corporate system
Contribute to process development and automation.
Handle ad-hoc requests being a part of the international corporate presence.

Additional information
Bachelor's degree in Finance, Economics, or related field.
2-4 years of experience in budgeting, financial controlling, or management reporting.
Knowledge of principles of management reporting, including PnL (Profit and Loss), CF (Cash Flow), principles of revenue recognition.
Familiarity with  financial controlling software (journal entries, reports) is an advantage.
Advanced Excel skills, ability to analyze large datasets
Strong team player , responsibility, and attention to detail in numerical work.
Fluent English language proficiency. Arabic language knowledge is an additional plus.
Slavic languages add value to applications.



BenefitsRemuneration and benefits package could be communicated during the interviewing process.


Job Requirements

Skills Key Responsibilities: Financial/ Treasury Data Management:    Collect and process the financial data into several corporate financial management and management accounting systems. Coordinate with “internal clients” to facilitate timely and accurately reference financial data Management. Payment Processing: Coordinate with “internal clients” to facilitate timely and accurate payments under the delegation of Treasury Manager. Bank Reconciliation: Assist in Maintaining accurate records of all banking activities. Cash Forecasting: Assist in the preparation of short-term and long-term cash forecasts under the guidance of the treasury Manager. Financial Reporting: Assist in generating and analyzing reports related to treasury operations. Assist in Preparing periodic financial reports for management review. Documentation and Record Keeping: Maintain accurate and organized documentation for all treasury transactions. Ensure that records are readily accessible for audit purposes. Assist in the development and improvement of documentation processes. Collaboration: Work closely with other departments, including finance, accounting. Additional information We are aiming at candidates, who possess local documents and a valid job permit for UAE. Degree in Finance, Accounting, Business, or a related field. Previous experience in treasury operations or a similar financial role is preferred. Familiarity with internal treasury and management accounting platforms. Strong attention to detail skills. Good command of communication and organizational abilities. Ability to work effectively in a fast-paced and dynamic environment. Proficiency in using financial software and Microsoft Office applications. Fluent English language proficiency. Chinese language is an additional plus Tolerance level towards different cultures and languages, Slavic culture knowledge and languages is an additional advantage.

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