Finance Manager
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Key skills for this role
About the Role
Art Dubai Group seeks a Finance Manager to oversee financial operations, reporting, budgeting, and cash flow management. The role requires 5-10 years of experience in financial management, preferably in creative industries.
Key Skills for This Role
Responsibilities
- Prepare and present monthly, quarterly, and annual financial statements
- Manage month end close process and implement internal controls
- Monitor and manage cash flow, ensuring sufficient liquidity
- Lead preparation and maintenance of annual operating and capital budgets
- Manage accounts receivable and accounts payable processes
- Prepare and maintain asset schedules and fixed asset registers
- Develop and manage financial forecasts, budgets, and long term financial plans
- Conduct financial analysis and provide actionable insights to senior management
- Ensure timely completion of monthly payroll and maintenance of payroll register
- Handle insurance coverage to mitigate business risks
Requirements
- Bachelor's degree in Finance, Accounting, Economics, or related field
- 5 10 years of experience in financial management, accounting, or FP&A
- Strong understanding of financial reporting, budgeting, forecasting, and cash flow management
- Experience preparing financial statements and working with external auditors
- Proficiency in financial systems and tools (e.g. Excel, ERP systems, accounting software)
- Experience with Sage preferable
- Leadership experience with ability to manage and develop a finance team
Full Job Posting
About the Role
- The Finance Manager oversees the financial operations of Art Dubai Group, ensuring accurate financial reporting, effective financial planning, and strong internal controls across its programmes and entities.
- This is a hands on role requiring the ability to manage budgets, forecasts, cash flow, and financial reporting, while maintaining compliance with accounting standards and regulatory requirements.
- The role also requires the ability to support business decision making, and lead end to end finance operations, including reconciliations, and payroll, while driving efficiency and continuous improvement across financial processes.
Key Responsibilities
- Prepare and present monthly, quarterly, and annual financial statements, ensuring compliance with accounting standards and regulations.
- Manage the preparation of financial reports for internal stakeholders and external auditors.
- Ensure the timely and accurate filing of tax returns and regulatory compliance documents.
- Manage the month end close process, ensuring compliance with agreed timelines.
- Implement controls and review processes to ensure financial integrity.
- Identify and address internal control weaknesses, proposing actions for improvement.
- Monitor and manage cash flow, ensuring that the organization maintains sufficient liquidity.
- Lead the preparation and maintenance of annual operating and capital budgets.
- Evaluate financial risks and provide strategic recommendations to optimize resource allocation.
- Responsible for accounts receivable and accounts payable processes, ensuring accurate monthly reconciliation.
- Liaise with banks for various financial transactions and manage fixed deposit monitoring.
- Prepare and maintain asset schedules and fixed asset registers, including depreciation calculations.
Qualifications
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- 5 10 years of experience in financial management, accounting, or FP&A, preferably within the creative industries, events, or cultural sectors.
- Strong understanding of financial reporting, budgeting, forecasting, and cash flow management.
- Experience preparing financial statements and working with external auditors.
- Solid knowledge of accounting standards and regulatory compliance requirements.
- Proficiency in financial systems and tools (e.g. Excel, ERP systems, accounting software). Experience with Sage preferable.
- Experience managing accounts receivable, accounts payable, and balance sheet reconciliations.
- Strong organisational skills with the ability to manage multiple priorities and meet deadlines.
- Leadership experience with the ability to manage and develop a finance team.
- Proactive, curious, and solutions focused approach.
Workplace
- This is an on site role requiring office attendance five days a week.
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