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Corporate Finance Manager

Corporate Finance Manager

m i r a l.l.c
Early Applicant
  • Posted 14 days ago
  • Be among the first 10 applicants

Job Description

We are looking for an experienced Finance Manager to join a real estate development company in Dubai. The ideal candidate will have a strong background in UAE real estate development finance, with extensive hands-on experience in treasury management, fundraising, banking relationships, financial structuring, and cross-border financial regulations.

This is a senior finance position requiring a candidate who can independently manage the company's financial operations while working closely with management, banks, investors, lenders, and other financial institutions.

Key Responsibilities

  • Manage the company's overall financial operations, cash flow, liquidity, and treasury activities
  • Develop and implement effective treasury and cash management strategies for real estate development projects
  • Manage relationships with UAE banks, financial institutions, lenders, and investment partners
  • Lead and support fundraising, debt financing, project financing, and other capital-raising initiatives
  • Structure financing solutions for real estate development projects and assess funding requirements
  • Prepare financial models, feasibility analyses, cash-flow forecasts, funding proposals, and investment-related financial reports
  • Coordinate with banks regarding credit facilities, project financing, guarantees, LCs, overdrafts, and other banking arrangements
  • Monitor debt obligations, repayment schedules, interest costs, and financing covenants
  • Ensure compliance with applicable UAE financial, corporate, tax, banking, and regulatory requirements
  • Manage and assess cross-border financial transactions and applicable laws/regulations across different jurisdictions
  • Work closely with legal, investment, development, and senior management teams on financial structuring and transactions
  • Monitor project-level financial performance, budgets, cash requirements, and funding requirements
  • Provide strategic financial advice to management regarding investments, financing, liquidity, and risk
  • Establish strong internal controls and financial reporting procedures
  • Support due diligence processes with banks, investors, lenders, and external advisors

Requirements

  • 5+ years of relevant finance experience within UAE real estate development is mandatory
  • Candidates must have substantial hands-on experience with real estate development companies, not solely real estate brokerage
  • Extensive practical experience in treasury management and cash-flow management
  • Proven experience in fundraising, debt financing, project financing, or capital raising
  • Strong existing banking relationships within the UAE
  • Experience dealing directly with UAE banks and financial institutions
  • Strong knowledge of real estate development finance and project funding structures
  • Strong understanding of cross-border financial transactions and applicable laws/regulations across different countries
  • Excellent financial modelling, forecasting, budgeting, and financial analysis skills
  • Strong knowledge of UAE financial, banking, corporate, and tax-related regulations
  • Excellent communication, negotiation, analytical, and stakeholder-management skills

Benefits

  • Competitive salary package based on experience and expertise
  • Opportunity to work directly with senior management on real estate development, financing, and investment projects
  • Exposure to UAE and international financing, fundraising, and banking transactions
  • Opportunity to build and leverage relationships with leading UAE banks and financial institutions
  • Professional and dynamic working environment
  • Long-term career growth within a growing real estate development organization
  • UAE employment visa and medical insurance, subject to company policy

More Info

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Key Skills

investment-related financial reports

financial reporting procedures

UAE real estate development finance

feasibility analyses

cross-border financial regulations

cash-flow forecasts

About Company

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