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Finance Manager

DGM Investment
Dubai, UAE
Fulltime
Mid-Senior
2 months ago
Financial Planning and Analysis (FP&A)Budgeting and ForecastingFinancial ReportingCash Flow ManagementTreasury ManagementCost Accounting
Free

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Financial Planning and Analysis (FP&A)Budgeting and ForecastingFinancial Reporting
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Company Description

DGM Investment, founded in China in 1981 and operating in Dubai for over a decade, is a community-focused investment group.

Specializing in real estate, natural resource investments, property management, and financial consulting, the company provides comprehensive services including development, brokerage, property and facilities management, and community operations.

With investments in over 12 local companies, DGM Investment is committed to building thriving communities and delivering sustainable value.

Role Description

This is an on-site, full-time position based in Dubai, United Arab Emirates.

As a Finance Manager, you will oversee the financial health of the organization by managing accounting, financial analysis, and reporting.

Your day-to-day responsibilities will include budget preparation, financial forecasting, ensuring compliance with financial regulations, and providing strategic insights to support decision-making.

You will also supervise a team of financial professionals, while collaborating across departments to achieve business objectives.

1. Financial Reporting & Consolidation

  • Prepare and oversee monthly, quarterly, and annual financial reports across the group
  • Manage group consolidation, ensuring accuracy and compliance with accounting standards (e.g., IFRS/GAAP)
  • Review financial statements and ensure timely submission

2. Budgeting & Forecasting

  • Lead the group budgeting process and financial forecasting
  • Monitor performance against budgets and provide variance analysis
  • Support business units with financial planning and cost control

3. Strategic Financial Management

  • Provide financial insights and recommendations to senior management
  • Support strategic decision-making, investments, and expansion plans
  • Analyze financial risks and opportunities across the group

4. Compliance & Governance

  • Ensure compliance with regulatory requirements, tax laws, and internal policies
  • Liaise with external auditors, tax advisors, and regulatory bodies
  • Maintain strong internal controls and risk management frameworks

5. Cash Flow & Treasury Management

  • Oversee group cash flow, liquidity, and funding requirements
  • Manage banking relationships and financing arrangements
  • Optimize working capital across entities

6. Team Leadership

  • Lead and develop the finance team across group entities
  • Standardize financial processes and systems
  • Drive continuous improvement and automation initiatives

Education & Qualifications

  • Bachelor’s degree in Finance, Accounting, or related field
  • Professional certification (e.g., CPA, ACCA, CMA) preferred

Experience

  • At least three years of experience working as a Finance Manager within a large organization.
  • 7–12+ years of finance/accounting experience
  • Experience in group reporting and multi-entity environments
  • Strong knowledge of financial consolidation

Skills & Competencies

  • Strong analytical and problem-solving skills
  • Advanced knowledge of accounting standards (IFRS/GAAP)
  • Proficiency in ERP systems and financial tools (e.g., SAP, Oracle)
  • Excellent leadership and communication skills
  • High attention to detail and accuracy

Key Performance Indicators (Kpis)

  • Timeliness and accuracy of financial reporting
  • Budget adherence and forecasting accuracy
  • Compliance and audit outcomes
  • Cash flow optimization
  • Efficiency improvements in financial processes

Qualifications

  • Proven expertise in Financial Analysis, Budgeting, and Financial Reporting
  • Strong leadership and the ability to manage and mentor a team effectively
  • Knowledge of Financial Compliance, Risk Management, and Internal Controls
  • Excellent understanding of Real Estate, Investment Strategies, and Property Management
  • Proficient in Financial Software, Excel, and Data Analysis Tools
  • Ability to develop and present clear financial strategies and insights
  • Bachelor’s degree in Finance, Accounting, or a related field; CFA or CPA certification is a plus
  • Prior experience in a real estate or investment organization is advantageous

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