Treasury & Tax Manager

Kingston Stanley View all jobs

  • United Arab Emirates
  • Permanent
  • Full-time
  • 8 days ago
We're partnering with a multinational F&B company in Dubai who are looking to hire a Treasury & Tax Manager.Key ResponsibilitiesTreasury & Liquidity
  • Manage short- and medium-term cash flow forecasting, including rolling forecasts and variance analysis
  • Oversee banking relationships and optimise banking structures
  • Maintain strong governance over bank accounts, controls, and payment processes
  • Lead treasury month-end activities, including reconciliations and reporting
  • Support audit processes and banking confirmations
Funding & Facilities
  • Manage loan facilities, including drawdowns, utilisation tracking, and compliance
  • Monitor financial covenants and ensure timely reporting
  • Liaise with lenders and external advisors
  • Track funding allocation and ensure alignment with agreed terms
Financial Risk & FX
  • Monitor foreign exchange exposure and support hedging activities
  • Provide risk analysis and recommendations to senior management
  • Oversee transaction approvals and settlement processes
Tax & Compliance
  • Own indirect tax compliance, including preparation and review of filings
  • Act as the main point of contact for tax authorities and audits
  • Support corporate tax implementation and ongoing compliance
  • Oversee transfer pricing documentation and external advisor relationships
Insurance & Risk
  • Manage corporate insurance programmes, including renewals and claims
  • Monitor risk exposure and ensure appropriate coverage
Systems & Regulatory Projects
  • Lead implementation of regulatory and finance-related system initiatives
  • Coordinate across internal teams and external providers
  • Ensure ongoing compliance with evolving regulatory requirements
Candidate ProfileExperience
  • 6-10 years' experience in treasury and/or tax within the UAE
  • Strong exposure to banking relationships and debt facilities
  • Hands-on experience with VAT compliance and regulatory interaction
  • Experience in cash flow forecasting and working capital management
  • Background in fast-paced sectors such as FMCG, trading, or manufacturing is advantageous
Technical Skills
  • Strong knowledge of UAE VAT and Corporate Tax frameworks
  • Experience with financial risk management and FX exposure
  • Advanced Excel and financial modelling skills
Key Attributes
  • High ownership and accountability mindset
  • Commercially aware with strong decision-making ability
  • Detail-oriented with a structured approach to problem-solving
  • Confident communicator with strong stakeholder management skills
  • Comfortable working in a lean, fast-moving environment
Qualifications
  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • Professional qualification (ACCA, ACA, CPA, CIMA or equivalent) preferred
  • Strong practical experience with UAE tax regulations
FOR MORE INFORMATIONCONTACT Lucy Vincent

Kingston Stanley

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