Senior Finance Analyst - Corporate Treasury
AlFuttaim
- Dubai
- Permanent
- Full-time
- Role: Senior Finance Analyst - Corporate Treasury
- Location: Dubai, UAE
- Industry: Financial Services
- Function: Financial Analysis-Research-Reporting
- Experience: 6-8 years
- Job Type: Full-time
Senior Finance Analyst - Corporate Treasury role in Dubai, UAE within the Financial Services industry is a strategic opportunity focused on financial planning, treasury operations, and funding management across multiple entities. This hiring role is designed for professionals with strong analytical expertise to support capital optimization, liquidity management, and long-term financial strategy.Job Details
Country: UAE
City: Dubai
Industry: Financial Services
Function: Financial Analysis-Research-Reporting
Salary: 20000-30000
ONLY if salary is NOT provided: Estimated salary range based on similar jobs in the job city; please confirm the final offer with the employer.
Gender: Any
Candidate Nationality: Any
Job Type: Full-timeRole Context
This role plays a key part in managing financial performance, treasury operations, and funding strategies for a multi-entity financial services division. It supports strategic decision-making by delivering accurate financial models, forecasting cash flow, and ensuring compliance with regulatory and financial governance frameworks.Key Responsibilities
- Develop detailed financial models including profit and loss, balance sheet, and cash flow projections
- Deliver medium-term funding plans aligned with business strategy and financial objectives
- Prepare accurate cash flow forecasts and ensure alignment with budgets and quarterly projections
- Provide monthly financial performance analysis with actionable recommendations
- Support optimization of capital structure and funding mix across entities
- Assess financial impact of investments, capital expenditure, and portfolio changes
- Coordinate funding transactions with treasury teams and external partners
- Monitor liquidity, capital adequacy, and funding capacity for informed decision-making
- Maintain visibility of daily cash positions and manage operational funding requirements
- Ensure compliance with debt covenants, financial policies, and regulatory guidelines
- Develop dashboards for monitoring financial performance and funding metrics
- Support asset and liability management strategies and risk assessment processes
- Coordinate with internal stakeholders on treasury operations, banking activities, and documentation
- Bachelor's degree in Finance or Accounting
- Professional qualifications such as MBA, ACCA, CA, CIMA, or CFA preferred
- 6 to 8 years of experience in corporate finance, treasury, or banking environments
- Strong understanding of financial markets, liquidity management, and funding structures
- Advanced analytical skills with attention to detail and accuracy
- Ability to manage multiple entities and complex financial operations
- Financial modeling and forecasting
- Treasury and liquidity management
- Cash flow analysis and reporting
- Risk assessment and compliance
- Advanced Excel, Power BI, SAP BPC, and Anaplan
- Stakeholder communication and coordination
- Opportunity to work within a leading financial services division managing complex portfolios
- Exposure to strategic treasury operations and large-scale financial planning
- Career growth in corporate finance and financial strategy roles
- Collaborative environment with strong leadership and structured governance
- Involvement in high-impact financial decision-making processes
Al Futtaim Group is a diversified organization headquartered in Dubai, operating across financial services, automotive, retail, and real estate sectors. With a strong focus on innovation, governance, and sustainable growth, the group continues to deliver value-driven financial solutions across regional markets.Job Title Senior Finance Analyst - Corporate Treasury
Job Description Senior Finance Analyst - Corporate TreasuryJob Snapshot
- Role: Senior Finance Analyst - Corporate Treasury
- Location: Dubai, UAE
- Industry: Financial Services
- Function: Financial Analysis-Research-Reporting
- Experience: 6-8 years
- Job Type: Full-time
Senior Finance Analyst - Corporate Treasury role in Dubai, UAE within the Financial Services industry is a strategic opportunity focused on financial planning, treasury operations, and funding management across multiple entities. This hiring role is designed for professionals with strong analytical expertise to support capital optimization, liquidity management, and long-term financial strategy.Job Details
Country: UAE
City: Dubai
Industry: Financial Services
Function: Financial Analysis-Research-Reporting
Salary: 20000-30000
ONLY if salary is NOT provided: Estimated salary range based on similar jobs in the job city; please confirm the final offer with the employer.
Gender: Any
Candidate Nationality: Any
Job Type: Full-timeRole Context
This role plays a key part in managing financial performance, treasury operations, and funding strategies for a multi-entity financial services division. It supports strategic decision-making by delivering accurate financial models, forecasting cash flow, and ensuring compliance with regulatory and financial governance frameworks.Key Responsibilities
- Develop detailed financial models including profit and loss, balance sheet, and cash flow projections
- Deliver medium-term funding plans aligned with business strategy and financial objectives
- Prepare accurate cash flow forecasts and ensure alignment with budgets and quarterly projections
- Provide monthly financial performance analysis with actionable recommendations
- Support optimization of capital structure and funding mix across entities
- Assess financial impact of investments, capital expenditure, and portfolio changes
- Coordinate funding transactions with treasury teams and external partners
- Monitor liquidity, capital adequacy, and funding capacity for informed decision-making
- Maintain visibility of daily cash positions and manage operational funding requirements
- Ensure compliance with debt covenants, financial policies, and regulatory guidelines
- Develop dashboards for monitoring financial performance and funding metrics
- Support asset and liability management strategies and risk assessment processes
- Coordinate with internal stakeholders on treasury operations, banking activities, and documentation
- Bachelor's degree in Finance or Accounting
- Professional qualifications such as MBA, ACCA, CA, CIMA, or CFA preferred
- 6 to 8 years of experience in corporate finance, treasury, or banking environments
- Strong understanding of financial markets, liquidity management, and funding structures
- Advanced analytical skills with attention to detail and accuracy
- Ability to manage multiple entities and complex financial operations
- Financial modeling and forecasting
- Treasury and liquidity management
- Cash flow analysis and reporting
- Risk assessment and compliance
- Advanced Excel, Power BI, SAP BPC, and Anaplan
- Stakeholder communication and coordination
- Opportunity to work within a leading financial services division managing complex portfolios
- Exposure to strategic treasury operations and large-scale financial planning
- Career growth in corporate finance and financial strategy roles
- Collaborative environment with strong leadership and structured governance
- Involvement in high-impact financial decision-making processes
Al Futtaim Group is a diversified organization headquartered in Dubai, operating across financial services, automotive, retail, and real estate sectors. With a strong focus on innovation, governance, and sustainable growth, the group continues to deliver value-driven financial solutions across regional markets.
Post DetailsJob Start Date
Salary from 20000.00
Salary to 30000.00
Number of Vacancies 1
Location -Location City DubaiDesired Candidate's Profile
Gender No Preference
Nationality
Candidate Current Location
Careers in Gulf