Financial Planning Analyst - Dubai, United Arab Emirates - Manpower Middle East

Ahmed Al-Mansouri

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Ahmed Al-Mansouri

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Description

Posted Date- about 3 hours ago- Location- Dubai- Discipline- Finance & Banking- Job Reference Salary We are looking to recruit a Financial Planning Analyst for our client in Dubai.


KEY RESPONSIBILITIES:


  • Compilation of monthly consolidated financial statements
  • Flash and Actual Closing with commentary on key business drivers and detailed variance analysis.
  • Compilation of budgets and forecasts with commentary on key business drivers & KPIs.
  • Compilation of 5 year Business Plan with justifiable growth assumptions.
  • Control the Corporate Book, ensuring completeness and accuracy of IC transactions and various cost elements.
  • Analysis of consolidated Profit & Loss Statement, Balance Sheet, Cash Flow Analysis and financial metrics, such as free cash flow, working capital, net debt, leverage and turnover metrics.
  • Analyze key costs drivers contributing to company EBITDA and Net Profit.
  • Preparation of management financial analysis to support external reporting, regulatory filings and Board of Directors meetings.
  • Apart from the duties and responsibilities listed above, any other additional duties as advised by the management from time to time.

Educational Qualification(s):

Professional qualification such as CPA, CFA, ACCA, ACA or similar (mandatory)
Bachelor/ Master's degree in Finance & Accounting

Relevant experience

  • 7 years of corporate FP&A experience
  • Experience in Oracle Hyperion, SAP or similar ERP


Advanced knowledge of MS Excel and MS PowerPointWe are looking to recruit a Financial Planning Analyst for our client in Dubai.


KEY RESPONSIBILITIES:


  • Compilation of monthly consolidated financial statements
  • Flash and Actual Closing with commentary on key business drivers and detailed variance analysis.
  • Compilation of budgets and forecasts with commentary on key business drivers & KPIs.
  • Compilation of 5 year Business Plan with justifiable growth assumptions.
  • Control the Corporate Book, ensuring completeness and accuracy of IC transactions and various cost elements.
  • Analysis of consolidated Profit & Loss Statement, Balance Sheet, Cash Flow Analysis and financial metrics, such as free cash flow, working capital, net debt, leverage and turnover metrics.
  • Analyze key costs drivers contributing to company EBITDA and Net Profit.
  • Preparation of management financial analysis to support external reporting, regulatory filings and Board of Directors meetings.
  • Apart from the duties and responsibilities listed above, any other additional duties as advised by the management from time to time.

Educational Qualification(s):

Professional qualification such as CPA, CFA, ACCA, ACA or similar (mandatory)
Bachelor/ Master's degree in Finance & Accounting

Relevant experience

  • 7 years of corporate FP&A experience
  • Experience in Oracle Hyperion, SAP or similar ERP
Advanced knowledge of MS Excel and MS PowerPoint

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