Finance Manager

Saal.ai

Abu Dhabi

On-site

AED 400,000 - 560,000

Full time

40 hours ago
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Job summary

Saal.ai in Abu Dhabi seeks a senior Finance leader to drive planning, reporting, control and compliance across the group’s technology entities. You will ensure timely, accurate financial information, strong governance and ERP-driven automation while supporting management with insights for decision making.

You will lead multi-entity consolidation, tax and treasury activities, and partner with business leaders on pricing, profitability and investment evaluations.

Qualifications

  • Bachelor’s degree in Accounting, Finance or Commerce.
  • Professional qualification such as CA, ACCA, CPA or CIMA.
  • Experience with ERP systems (e.g., Microsoft Dynamics 365 or equivalent), including reporting, controls and process improvement, is an advantage.

Responsibilities

  • Lead financial planning, budgeting and multi-year planning across entities.
  • Develop financial models and provide variance analysis with actionable insights.
  • Oversee month-end close, intercompany accounting and IFRS compliance.
  • Coordinate tax, treasury, cash flow and working capital management.
  • Partner with leaders on pricing, profitability and investments; present recommendations.

Skills

Financial planning
IFRS consolidation
VAT & tax UAE
Audit management
Cash flow forecasting
Excel advanced
ERP (Dynamics 365)
Planning tools (Planful)
Power BI/Tableau
Intercompany accounting

Education

Bachelor's degree in Accounting/Finance/Commerce
CA/ACCA/CPA/CIMA

Tools

Microsoft Dynamics 365
Planful
Power BI
Tableau

Job description

Job Purpose

To lead the financial planning, reporting, control and compliance agenda across the Group’s technology entities, and to act as a trusted finance business partner to management. The role ensures timely and accurate financial information, strong governance and controls, efficient cash and working capital management, and full statutory, tax and audit compliance, while driving continuous improvement through ERP enhancement and finance automation.

Key Responsibilities
Financial Planning, Reporting & Business Performance
  • Lead annual budgeting, roll forecasts and multi-year business planning across entities.
  • Develop and maintain financial models incorporating revenue, EBITDA, balance sheet and cash flow forecasts.
  • Prepare management reporting packs, KPI dashboards and variance analysis, providing actionable business insights.
  • Support Board, shareholder and Group reporting requirements through accurate and timely financial information.
Financial Control, Accounting & Compliance
  • Oversee month-end and year-end close activities, financial reconciliations and intercompany accounting.
  • Ensure compliance with IFRS, Group accounting policies and internal control requirements.
  • Maintain finance policies, procedures and delegated authority frameworks.
  • Coordinate external and internal audits and ensure timely closure of audit findings.
Tax, Treasury & Working Capital Management
  • Manage VAT, Corporate Tax and other regulatory compliance requirements, including coordination with external advisors.
  • Monitor cash flow, liquidity and funding requirements.
  • Drive collections, working capital improvement and vendor payment governance.
  • Support banking relationships, account management, capital calls and bank guarantee monitoring.
Business Partnering & Commercial Finance
  • Partner with business leaders on pricing, profitability, cost management and strategic initiatives.
  • Prepare business cases, investment evaluations and financial risk assessments.
  • Present financial performance and recommendations to senior management and key stakeholders.
Systems, Process Improvement & Automation
  • Drive ERP optimisation, finance transformation initiatives and integration of new entities.
  • Automate recurring reporting and control activities to improve efficiency and accuracy.
  • Standardise finance processes and maintain robust documentation across the Group.
Team Leadership & Stakeholder Management
  • Lead, prioritise and review the work of the finance team to ensure quality and timely delivery.
  • Support team development, coaching and recruitment activities.
  • Build effective relationships with auditors, regulators, banks and internal stakeholders.
Key Skills
Technical Skills
  • Financial planning and analysis, budgeting, forecasting and financial modelling.
  • IFRS application in a multi-entity, multi-currency environment, including consolidation and intercompany accounting.
  • UAE VAT and Corporate Tax, e-invoicing and regulatory compliance.
  • Audit management from planning through to closure of findings.
  • Cash flow forecasting, working capital and treasury management.
  • Advanced Microsoft Excel, ERP systems (Microsoft Dynamics 365 or equivalent), planning tools (Planful or equivalent) and Power BI/Tableau.
Commercial & Analytical Skills
  • Business acumen and the ability to explain financial outcomes in operational terms.
  • Investment appraisal, business case evaluation and cost optimisation.
  • Risk identification and mitigation within a controls-led environment.
Leadership & Behavioural Skills
  • Executive communication, with the ability to present conclusions clearly to senior stakeholders.
  • Constructive challenge and influencing without direct authority.
  • Ownership mindset with the ability to operate effectively within a lean, fast-paced team.
  • Strong organisation, prioritisation and deadline discipline across multiple entities.
  • Continuous improvement and automation mindset.
  • Collaboration and cross-functional stakeholder management.
Preferred Educational Qualifications and Professional Certifications
  • Bachelor’s degree in Accounting, Finance or Commerce.
  • Professional qualification such as CA, ACCA, CPA or CIMA.
  • Experience with ERP systems (e.g., Microsoft Dynamics 365 or equivalent), including reporting, controls and process improvement, is an advantage.
Experience
  • Minimum 8 to 10 years of progressive finance experience, including at least 2 years in a managerial capacity.
  • Proven experience in a multi-entity group environment with consolidation and intercompany exposure.
  • Experience of at least one full budgeting and statutory audit cycle as lead coordinator.
  • Exposure to the technology, investment holding or high-growth sectors is preferred.
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