Our client, is a renowned international real estate developer headquartered in Dubai, known for its commitment to innovation and excellence in creating high-end destinations that redefine luxury living.
Key
Responsibilities:
- Financial Planning and Analysis:
oDevelop and manage budgets,
forecasts, and financial models for ongoing projects and new developments.
oConduct in-depth financial analysis
to provide insights into project viability, profitability, and potential risks.
oPreparation of
regulations and policies for management accounting and budgeting
oPrepare accurate and timely financial
statements, management reports, and presentations for internal and external
stakeholders.
oProvide analysis and commentary on
financial results to support decision-making and strategic planning.
oProvide timely and relevant financial
reports and analysis to project stakeholders.
- Budgeting and Forecasting.
- Cash Flow Management:
oMonitor cash flow projections and
ensure availability of funds to meet operational and investment needs.
oImplement strategies to optimize
working capital and liquidity.
Requirements- Bachelor's degree in Finance,
Accounting, Economics, or a related field.
- Minimum 2 years of UAE experience in finance or accounting
roles, preferably within the real estate or construction industry.
- Languages: English – advanced,
Russian – professional (will be an advantage).
- Strong numerical aptitude and
attention to detail.
- Problem-solving skills and ability to
manage multiple tasks efficiently.
Benefits- Competitive salary package.
- Comprehensive medical insurance.
- Work in a dynamic and highly
experienced team.
- Career development opportunities.