Key Responsibilities:
- Prepare annual budgets, rolling forecasts, and financial models based on business inputs
- Perform detailed variance analysis (Budget vs Actual) with clear explanations and actionable insights
- Develop management reports and dashboards using Excel / Power BI for decision-making
- Monitor and manage cashflow forecasts, highlighting risks, shortfalls, and surplus
- Handle UAE Corporate Tax computation, filing, and compliance as per regulations
- Manage VAT returns, reconciliations, and transaction reviews ensuring accuracy and compliance
- Support audit processes by preparing schedules, reports, and required documentation
- Assist in financial statement preparation, disclosures, and month-end reporting
- Analyze business performance and support strategic and operational decision-making
Basic Qualification Requirements:
- Bachelor’s Degree in Finance / Accounting / Commerce or related discipline
- Minimum 3-5 years experience in FP&A and taxation (UAE experience preferred)
- Strong knowledge of IFRS, VAT, and UAE Corporate Tax regulations
- Advanced proficiency in Excel and financial modeling tools
Job Category: Tax FP&A
Job Type: Full Time
Job Location: Dubai
