Key Responsibilities: Treasury Management: Assessing/Forecasting Fund requirement & raising funds for Working capital/Term loan as per the business requirement. Maintaining strong relationships with Banks/Funds. Identify and mitigate financial risks, ensuring robust internal controls and compliance procedures. Financial Reporting: Ensure timely, accurate, and comprehensive financial reporting (Stand alone & Consolidation) in compliance with International Financial Reporting Standards (IFRS) and local regulatory requirements. Present monthly, quarterly, and annual financial reports to the senior management and board of directors. Regulatory & Compliance: Stay updated with UAEs financial regulations, ensuring the companys adherence to local tax laws, VAT regulations, and other financial compliance standards. Corporate Tax exposure of Transfer pricing and consolidation Stakeholder Management: Internal Stakeholder: Engaging with Sales, Engineering, and SCM team for efficient policy formation with solution oriented approach. External Stakeholders: Fostering strong relationship with Bankers, Auditors, Customers & Suppliers. Requirements: Bachelor’s degree in finance, Accounting, or related field. A master’s in business administration or finance is a plus. Strong understanding of UAEs financial and regulatory environment. Proficient in advanced financial software and tools. Advanced Excel Skills and knowledge Exceptional communication abilities, both verbal and written. Fluent in English.
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