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Treasury and Business Controller

Bin Harmal Group

United Arab Emirates

On-site

AED 120,000 - 200,000

Full time

27 days ago

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Job summary

A leading consulting firm in the UAE seeks an experienced Treasury and Business Controller. The ideal candidate will have a strong background in financial analysis and superb communication skills, ensuring compliance with GAAP and overseeing budgeting processes. This critical role demands a bachelor's degree in Finance & Banking, professional certifications, and over 15 years of experience, offering a competitive salary and potential for growth.

Qualifications

  • 15 years or more of related experience is required.
  • Strong supervisory and leadership skills essential.
  • Excellent and highly accurate math and accounting skills required.

Responsibilities

  • Coordinates the company’s financial planning, budgeting, and investment activities.
  • Oversees the preparation of financial statements and reports.
  • Reviews financial details from past, present, and forecasted operations.

Skills

Communication
Mathematics
Leadership
Organizational
Attention to Detail
Time Management

Education

Bachelor's degree in Finance & Banking
Master's degree in Finance
CMA or CIA certification

Tools

Microsoft Office Suite
Specialized accounting software

Job description

Bachelor of Business Administration(Management)

Nationality

Any Nationality

Vacancy

1 Vacancy

Job Description

Job Location

United Arab Emirates

Experience

15 to 20 years

Graduate; Post Graduate; CA / CS / CFA / All Professional Finance Degrees

Job Function

Accounts / Tax / CS / Audit / Finance
Banking / Financial Services

Skillset

Microsoft Office Suite or related software, and specialized accounting software

Preferred Jobseekers

Jobseekers from any country

Treasury and Business Controller

Job Location : UAE

Duties/Responsibilities:


Responsibilities of the accounts and treasury and audit as well
Coordinates the company s financial planning, budgeting, and investment activities.
Provides financial analysis with an emphasis on capital investments, pricing decisions, and contract negotiations.
Oversees the preparation of periodic financial statements, activity reports, financial forecasts, and annual budgets.
Ensures that reported results comply with generally accepted accounting principles (GAAP) or international financial reporting standards.
Reviews financial details from past, present, and forecasted operations; identify development opportunities and improvements that can be made.
Provides management with short
and long-term financial objectives and policies.
Advises business units on and assists with the implementation of accounting and budgeting policies.
Confirms accuracy and oversees the filing of quarterly and annual reports with the Securities and Exchange Commission (SEC).
Collaborates with external auditors to provide the information needed for the annual audit.
Maintains knowledge of organizational procedures, federal and state regulations, and accounting standards.
Performs other related duties as assigned.

Required Skills/Abilities:

Excellent verbal and written communication skills.
Excellent and highly accurate math and accounting skills.
Strong supervisory and leadership skills.
Excellent organizational skills and attention to detail.
Excellent time management skills with a proven ability to meet deadlines.
Proficient with Microsoft Office Suite or related software, and specialized accounting software used by the organization.

Education and Experience:


Bachelor s degree in Finance & Banking required; Masters s degree preferred.
15 years or more of related experience is required.
Must hold a certificate of CMA or CIA.

Company Industry

  • Consulting
  • Management Consulting
  • Advisory Services

Department / Functional Area

  • Finance
  • Treasury

Keywords

  • Treasury And Business Controller

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