Job Description
Job Summary
The job holder will be responsible for analyzing financial status by collecting, monitoring, and studying data, and provide recommendations.
Responsibilities
- Oversee and manage the accounting team and making sure all data provided is accurate and timely and abides by IFRS standards.
- Prepare treasury and cashflow forecast for optimal collections and payments.
- Coordinate with the relevant departments and provide analysis of ROI based on the budgets provided and performances.
- Coordinate with the auditors to provide them with the requested data for audit completion
- Coordinate with the tax experts for accurate and timely tax submissions
- Complete of the financial reporting package with analysis of user and financial metrics
- Compare financials to budget allocation in order to analyze variations and optimize it.
- Improve financial status by analyzing results, monitoring variances, identifying trends, and recommending actions to management.
- Prepare and deliver financial presentations and reports to the board.
Requirements
- Bachelor’s degree in finance is required
- IFRS diploma or ACCA certification is a plus
- Minimum 4 years of experience in sector analysis, financial planning and analysis, and financial modeling
- Previous experience working in a startup is a plus
- Knowledge in startup VC Investment Process & Cycles
- Previous experience with a video mobile app is a plus
- Excellent analytical skills
- Excellent presentation skills
Job Details
- Job Location
- Dubai United Arab Emirates
- Company Industry
- Other Business Support Services
- Company Type
- Unspecified
- Employment Type
- Unspecified
- Monthly Salary Range
- Unspecified
- Number of Vacancies
- Unspecified