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Assistant Manager Finance (Power & Utilities)

Power & Utilities Company

Abu Dhabi

On-site

AED 60,000 - 120,000

Full time

Yesterday
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Job summary

A leading financial services provider in Abu Dhabi is seeking a qualified candidate to support finance leadership at the corporate office. Responsibilities include technical accounting under IFRS, preparing financial statements, ensuring compliance with loan agreements, and overseeing internal controls. The ideal candidate should have experience in financial reporting and cash management. This role offers a dynamic work environment with opportunities for professional growth.

Qualifications

  • Experience in handling technical accounting matters in compliance with IFRS.
  • Proven track record in financial statement preparation.
  • Familiarity with VAT and Corporate Tax returns.

Responsibilities

  • Handle technical accounting matters to ensure compliance with IFRS.
  • Download all aspects of accounting and closing processes.
  • Prepare and monitor management reports and forecasts.
  • Ensure adequate internal controls and risk management.
  • Coordinate the internal and external audit processes.

Skills

Technical accounting (IFRS)
Financial reporting
Cash management
Project agreements compliance
Internal controls
Data analysis
Job description

\"Please apply if you can join at short notice – mention current salary\"

Support the finance leadership at corporate office to ensure proper accounting, reporting, cash management, loan and project agreements compliance and overall management of financial matters for project companies. Job responsibilities involve the following:

  • Handle technical accounting (IFRS) matters to ensure that specific transactions are accounted for in line with IFRS and all relevant documentation is prepared to support the position taken
  • Accounting, book-keeping and period-end closing;
  • Preparation of financial statements under IFRS and other reports as required;
  • Provide business / technical finance support to the project entities' teams;
  • Prepare and review management reports, budgets, forecasts and monitor financial and business performance against budgets/scorecards;
  • Preparation/update of policies and procedures;
  • Ensuring adequate internal controls and risk management framework is in place;
  • Preparation of VAT and Corporate Tax returns;
  • Coordinate complete internal and external audit process;
  • Analysis and support on ad-hoc transactions as required;
  • Prepare rolling cash flow projections in accordance with lending agreements Liaise with the project companies' shareholders, lenders, EPC contractors, insurers, regulators, tax authorities for financial and compliance matters as required;
  • Reviewing financial models of project entities, analysing data and performing scenario analyses as required
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