Strategic FP&A & Treasury Analyst: Cash Flow & Growth
Ghobash Group
Dubai
On-site
AED 120,000 - 200,000
Full time
Job summary
A leading finance firm in Dubai is seeking a highly motivated FP&A and Treasury Analyst to support financial planning and strategic analysis. Key responsibilities include budget management, cash flow monitoring, and financial modeling. The ideal candidate will have solid experience in finance roles, especially in the UAE/GCC region, along with strong Excel skills. This is a full-time position with no remote work options.
Qualifications
- 23 years of experience in FP&A or corporate finance roles preferably in the UAE/GCC region.
- Experience in the consumer/FMCG & distribution business is an advantage.
Responsibilities
- Develop and manage annual budgets, forecasts, and long-term financial models.
- Monitor bank balances, cash forecasts, and fund movements across multiple accounts.
- Support business cases and ROI analysis for new initiatives and capital expenditure.
Skills
Strong financial modelling and Excel skills
Proficiency with financial reporting tools
Strong analytical problem-solving skills
Ability to manage multiple priorities
High attention to detail
Education
Bachelor's degree in Finance, Accounting or related field
Tools
A leading finance firm in Dubai is seeking a highly motivated FP&A and Treasury Analyst to support financial planning and strategic analysis. Key responsibilities include budget management, cash flow monitoring, and financial modeling. The ideal candidate will have solid experience in finance roles, especially in the UAE/GCC region, along with strong Excel skills. This is a full-time position with no remote work options.