Accounts Manager (Financial Integrity, Analytical Excellence & Strategic Fiscal Governance)
Company Overview:
Our client, Falcon Group, is a professional and performance-driven leader in the Dubai premium corporate investment, diversified commerce, and multi-divisional enterprise asset management landscape, dedicated to delivering high-quality management solutions and operational excellence through robust fiscal control and commercial transaction execution. We operate with an “educational family” philosophy, where technical management and professional financial reconciliation mastery are shared to ensure total compliance with Federal Tax Authority (FTA) statutory directives, International Financial Reporting Standards (IFRS), and strict corporate auditing benchmarks. In the highly competitive UAE Corporate Finance & Accounting Operations sector, we believe that rigorous corporate governance and disciplined multi-branch balance sheet coordination are the cornerstones of organizational stability. Join our professional Human Resources and executive accounting team in Dubai and contribute to an environment that values professional integrity, technical innovation in Information Technology (incorporating advanced multi-currency ERP frameworks, computerized ledger consolidation modules, automated tax compliance databases, and cloud-hosted financial planning networks), and the strategic expansion of our commercial portfolios.
Job Description:
We are expanding our regional finance division and seeking an experienced, strategic, and structured Accounts Manager to join our corporate finance team in Dubai. This role is fundamental to our organizational framework, requiring a professional accountant and fiscal lifecycle specialist who can deliver balance sheet accuracy and financial statement precision for management and executive board performance review. You will be responsible for overseeing ledger reconciliation tracks, organizing multi-department trial balances, updating cash flow profiles, archiving statutory tax records, and executing precise financial reporting pathways. We are looking for an individual with a strong foundation in Multi-Divisional Capital Structures, Standardized Audit Frameworks, and Corporate Cash Flow Governance and a proactive approach to operational tracking. This is a brilliant opportunity to advance your education and corporate financial management career within a highly reputable, diversified enterprise group.
🔹 Key Responsibilities:
- Oversee complete accounting operations across multiple business divisions and departments.
- Ensure full financial compliance with internal corporate policies and local regulatory standards.
- Prepare, review, and present accurate financial reports for management and corporate stakeholders.
- Analyze complex financial data and provide actionable strategic insights to support business decisions.
- Manage, optimize, and improve advanced ERP systems for efficient accounting workflow and reporting.
- Lead, supervise, and mentor the group finance and accounting team to ensure high performance.
- Coordinate with internal departments to ensure smooth financial operations across the entire group.
- Support corporate budgeting, variance forecasting, and long-term financial planning activities.
- Maintain total accuracy in corporate financial records and ensure all timely reporting deadlines are met.
🔹 Requirements:
- A professional accounting qualification is strictly mandatory: CA, ACCA, CPA, CMA, or recognized equivalent.
- Strong professional experience holding managerial accounting or financial leadership titles inside the corporate sector.
- Prior experience directing fiscal operations for multiple business divisions or cross-functional units is highly preferred.
- Strong analytical abilities with a deep, practical understanding of international financial reporting standards (IFRS).
- Hands-on experience managing and configuring enterprise-level ERP systems and advanced accounting applications.
- Excellent leadership, team mentorship, and cross-departmental communication abilities.
- Strong knowledge base and practical exposure regarding the management of corporate tax compliance, profit margins, and internal control checklists.
- Professional background in education regarding working capital optimization, corporate liquidity rules, cost center budgeting methods, and digital ledger auditing.
- Ability to demonstrate operational excellence, coordinate accounting timelines under rigid monthend closing schedules, and thrive in an elite Dubai corporate office.
What We Offer:
- Monthly salary package ranging from AED 5,000 to 6,000 (Adjusted from input to comply with the maximum 2,000 AED gap format).
- A rewarding and highly structured leadership track inside an expanding multi-divisional corporate holding.
- Direct involvement in the management of complex financial consolidation systems and high-value investment tracking.
- Significant opportunities for professional development and corporate rotation in Strategic Group Controllership, Corporate Treasury Architecture & Enterprise Governance Leadership.