Job Code: 289/001/930
Industry: Manufacturing / Trading
Working Days: Monday - Friday
Working Hours: 8:00 AM - 6:00 PM
Job Brief:We are hiring Finance Manager for a leading manufacturing group in JAFZA and KEZAD. The role requires a Chartered Accountant with
minimum 7 years of experience managing group-level financial operations, SAP expertise, and in-depth knowledge of UAE tax laws, trade finance, and inventory control. Ideal for candidates with strong leadership skills and a solid background in multi-entity financial consolidation.
Job Responsibilities:Financial Reporting & Consolidation- Prepare and finalize monthly, quarterly, and annual financial statements in compliance with IFRS.
- Manage financial consolidation across multiple group entities.
- Deliver timely MIS reports, profitability analysis, and budget variance reports.
- Lead budgeting and forecasting activities.
Taxation & Regulatory Compliance- Ensure compliance with UAE Corporate Tax and VAT regulations.
- Manage tax planning, returns, reconciliations, and assessments.
- Stay updated with local tax laws and implement necessary updates in processes.
Audit & Internal Controls- Lead statutory and internal audits across group entities.
- Establish and implement internal control systems.
- Conduct regular stock audits and inventory reconciliations.
Inventory Valuation & Costing- Oversee inventory valuation using standard costing methods.
- Coordinate with production and stores teams to ensure accuracy in inventory records.
- Analyze inventory and cost variances.
Accounts Payable & Receivable- Supervise the full AP & AR process including invoice verification, payments, and collections.
- Monitor aging reports and optimize cash flow through effective receivables management.
- Ensure timely reconciliation of vendor and customer accounts.
Vendor & Customer Management- Maintain strong working relationships with key vendors and customers.
- Negotiate favorable payment terms and resolve disputes efficiently.
- Coordinate with procurement and sales teams for account-related matters.
Banking & Treasury Management- Manage daily banking operations and reconciliations.
- Oversee cash flow forecasting, fund management, and intercompany funding.
- Optimize treasury operations to support business liquidity.
Trade Finance & LC Management- Handle end-to-end processing and documentation of Letters of Credit for import/export activities.
Team Leadership & Financial Oversight- Lead the finance team across different business units.
- Standardize financial processes and drive consistency across the group.
- Collaborate with internal departments to ensure timely and accurate financial reporting.