Senior Internal Auditor.
An established organization with structured audit processes and strong governance standards. The Senior Internal Auditor will execute internal audit assignments and support the overall audit plan, ensuring effective controls, compliance, and risk management across the business.
Senior Treasury Manager / Treasury Director.
A large or fast-growing organization with complex cash flows, multiple banking relationships, and advanced treasury and risk management requirements. The company places strong emphasis on liquidity optimization, governance, and financial resilience. The Senior Treasury Manager / Treasury Director will lead the organization's treasury strategy, overseeing liquidity, funding, and financial risk management. This role works closely with executive leadership and plays a key role in supporting growth, capital structure decisions, and financial stability.
Treasury Analyst
A structured organization with centralized treasury operations, focused on effective cash management, liquidity planning, and financial risk control to support business operations. The Treasury Analyst will support day-to-day treasury activities, including cash monitoring, forecasting, and banking operations. This role is ideal for a detail-oriented finance professional looking to build expertise in treasury and liquidity management.
Treasury & Cash Management Manager
A well-established organization with a strong focus on financial discipline, liquidity management, and risk control. The company operates in a structured environment with centralized treasury functions supporting business operations and growth. The Treasury & Cash Management Manager will be responsible for managing the organization's cash flow, liquidity, and banking relationships. This role ensures optimal use of funds, effective working capital management, and adherence to treasury policies while supporting overall financial stability and strategic initiatives.
Associate Accounting Manager
A corporate organization with well-structured finance processes and robust financial reporting frameworks. The company emphasizes accuracy, compliance, and continuous improvement within its finance function. The Associate Accounting Manager will lead day-to-day accounting activities and support senior finance leadership in ensuring accurate financial reporting and strong internal controls. This role acts as a key link between the accounting team and management, contributing to operational efficiency and financial discipline.
FP&A Analyst / Finance Analyst
A data-driven organization focused on enhancing business performance through financial insights, analytics, and informed decision-making. The company values accuracy, agility, and collaboration across teams. The FP&A Analyst / Finance Analyst will support the finance team with budgeting, forecasting, and financial analysis activities. This role plays a key part in translating financial data into actionable insights that support business planning and performance management.
Financial Controller
A well-established corporate organization with a strong focus on financial compliance, governance, and operational efficiency. The company operates within a structured environment and emphasizes accuracy, transparency, and process excellence. The Financial Controller will be responsible for managing the day-to-day accounting and financial reporting functions of the organization. This role ensures the integrity of financial data, supports operational decision-making, and maintains compliance with accounting standards and internal controls.
Finance Director / Head of Finance.
A regional industry leader in professional services, recognized for its strong governance framework, financial discipline, and commitment to best-in-class compliance and reporting standards. The organization operates in a dynamic environment with a focus on sustainable growth and value creation. The Finance Director / Head of Finance will lead the overall finance function and act as a strategic partner to senior leadership. This role is responsible for delivering accurate financial insights, ensuring robust financial controls, and supporting informed decision-making across the business.
Chief Executive Officer (CEO). Company Overview: A fast-growing Dubai-based enterprise with diversified business operations, known for its high-performance culture, entrepreneurial mindset, and strong market presence. The organization is focused on sustainable growth, innovation, and long-term value creation. The Chief Executive Officer (CEO) will provide strategic leadership and overall direction to the organization. This role is responsible for driving business growth, optimizing operational performance, and ensuring alignment with the company's vision, values, and long-term objectives.
We are seeking a Corporate Finance Analyst to support financial planning, analysis, and strategic decisionmaking. The role involves financial modeling, budgeting, forecasting, and performance analysis to support management and investment decisions.