Finance Manager
Henley & Partners View all jobs
- Dubai
- Permanent
- Full-time
- Global Impact: Join a company that makes a tangible difference in people's lives. Our work enables individuals and families to broaden their horizons, access new opportunities, and secure a brighter future through alternative citizenship and residency options.
- Cutting-Edge Expertise: Be part of a team of industry pioneers and experts who are at the forefront of the investment migration field. We provide innovative solutions and leverage our extensive network of international partners to deliver exceptional service to our clients.
- Dynamic and Diverse Culture: Immerse yourself in a truly global environment. With more than 40 offices spanning across continents, we foster a multicultural and inclusive workplace where ideas are valued, collaboration thrives, and personal growth is encouraged.
- Continuous Learning: We believe in investing in our employees' professional development. At Henley & Partners, you'll have access to ongoing learning opportunities, training programs, and industry conferences that will enhance your skills and expand your knowledge.
- Impactful Projects: Join us in working on high-profile projects that shape the future of investment migration. From advising governments on citizenship-by-investment programs to assisting high-net-worth individuals in achieving their global mobility goals, your work will have a direct impact on our clients and the industry.
- Work-Life Balance: We recognize the importance of maintaining a healthy work-life balance. Enjoy flexible working arrangements and benefits that support your well-being, ensuring that you can thrive both personally and professionally.
- Lead periodic reconciliations, including GL and bank reconciliations, to ensure accuracy and consolidation of data.
- Oversee intercompany transactions, maintain balances, and ensure monthly, quarterly, and yearly close deadlines are met.
- Contribute to annual budget preparation and closely monitor financial performance against budgeted targets.
- Provide support for additional budget preparation requirements as needed.
- Implement a strong control framework in line with regulatory standards and internal policies.
- Ensure all systems, processes, and accounting practices are compliant with statutory regulations.
- Analyze financial performance, generating periodic reports for management and stakeholders.
- Coordinate with the Group Reporting team to meet reporting requirements and deliver accurate, timely financial reports.
- Oversee cash flow, ensuring adequate liquidity to support operational demands.
- Manage banking relationships and proactively mitigate financial risks through forecasting and risk assessment.
- Set objectives, manage performance, and inspire your team to reach their highest potential.
- Foster a culture of integrity and dedication, acting as a role model and champion of organizational values.
- Ensure policies and procedures are effectively implemented, meeting legislative requirements while delivering quality, cost-effective services.
- CA Qualification (ACA preferred)
- 5+ years of post-qualification experience in finance management
- Advanced Excel skills, with a strong understanding of accounting principles and UK tax
- Excellent attention to detail, organizational skills, and ability to collaborate across teams
- Competitive Salary
- Comprehensive Medical Insurance
- 25 Days Paid Annual Leave
- Annual Performance Bonus