Chief Accountant – Dubai | Bahmani Group

Chief Accountant (Banking Facility Optimization, Trade Finance Treasury & Corporate Balance Sheet Governance)

Bahmani Group
Fiscal Integrity, Working Capital Maximization & Strategic Debt Governance

Job Type: Full Time
Industry: Finance / Banking / Corporate Accounting
Experience: Extensive Proven Experience in Banking Operations, Corporate Treasury, and Multi-Currency Trade Finance is Mandatory
Qualification: Bachelor’s Degree in Accounting, Finance, or Related Discipline (Professional Certifications like CPA/ACCA/CMA Preferred)
Salary: AED 5,000 to 6,000
Location: Dubai, United Arab Emirates
Expert Command Over Letters of Credit (LCs), Letters of Guarantee (LGs), and Collateral Asset Management

Company Overview:

Bahmani Group is an established, high-growth leader within the United Arab Emirates corporate finance networks, industrial banking structures, and global commercial asset deployment landscape, specializing in statutory International Financial Reporting Standards (IFRS) regulatory compliance, sophisticated pipeline capital loops, and streamlined client care frameworks. We focus on executing modern corporate treasury models, strict fiscal validation guidelines, and optimized pipeline cash flow tracking loops across our fast-expanding regional trade, logistics, and multi-sector investment portfolios. Join our principal financial accounting division and collaborative Human Resources infrastructure to elevate your corporate finance career utilizing contemporary ERP architectures and advanced general ledger Information Technology systems.

Job Description:

We are seeking an exceptionally motivated, mathematically rigorous, and strategically analytical Chief Accountant to manage daily corporate accounting pipelines, advanced trade finance workflows, and banking relationship optimization tracks at our headquarters in Dubai. Operating at the fiscal core of our enterprise framework, this central financial leadership role demands complete lifecycle control over liquidity parameters, precise collateral exposure documentation, and immediate audit bottleneck resolution to guarantee flawless statutory reporting velocity for executive corporate management evaluation. It offers a spectacular platform to leverage your rich regional banking operations background and advanced commercial accounting education inside a highly respected, high-reputation corporate ecosystem.

🔹 Key Responsibilities:

  • Oversee daily enterprise accounting operations, general ledger hygiene, and the consolidation of complex multi-entity financial reporting cycles fluidly.
  • Manage institutional banking relationships directly, negotiating commercial credit lines, corporate loan structures, and interest optimization parameters systematically.
  • Handle advanced corporate treasury functions, executing daily cash flow monitoring and strategic working capital allocation loops.
  • Monitor corporate collateral exposure variations continuously, guaranteeing the flawless, timely execution of collateral release documentation.
  • Manage trade finance instruments meticulously, structuring, checking, and deploying Letters of Credit (LCs) and Letters of Guarantee (LGs).
  • Ensure absolute compliance with federal tax regulations, UAE financial laws, and coordinate end-to-end external audit engagements seamlessly.
  • Prepare detailed corporate balance sheets, accurate income statements, and guide synchronized month-end and year-end ledger closing tracks.
  • Build, analyze, and stress-test comprehensive financial models to evaluate long-term corporate debt capacities and capital structure impacts.

🔹 Requirements:

  • Demonstrated professional background acting as a main liaison with regional commercial banks on complex corporate credit and facility structures.
  • Deep analytical understanding of asset collateral management parameters, property/security valuation rules, and risk monitoring lines.
  • Hands-on practical experience processing, opening, amending, and settling international trade finance instruments (LCs and LGs).
  • Strong structural expertise in complex ledger reconciliations, multi-currency accounting, and statutory closing processes.
  • Advanced proficiency operating enterprise resource planning (ERP) accounting platforms and sophisticated financial modeling spreadsheets.
  • Excellent verbal communication, analytical presentation capabilities, and the commercial acumen required to negotiate with financial directors.
  • Capacity to self-manage complex build schedules independently while protecting total corporate data privacy and proprietary ledger integrity under pressure.
  • Practical background in basic education regarding debt-to-equity math variables, liquidity diagnostics, and corporate fiscal lifecycle workflow management methodologies.

What the Organization Offers:

  • Competitive monthly base salary package ranging from AED 5,000 to 6,000 (dependent upon verified trade finance testing and corporate accounting case evaluation).
  • Comprehensive organization-backed residency visa protection, complete medical health insurance plans, and standard annual travel provisions per UAE Labour Law regulations.
  • Direct operational exposure within a flagship corporate conglomerate managing enterprise financial tech platforms and high-value commercial portfolios.
  • Structured ongoing financial leadership masterclasses to advance your practical education in visual neuromarketing accounting operations, capital risk diagnostics, and digital pipeline ledger tracking architectures.
  • Clear potential tracks for vertical career advancement into Finance Director seats, Chief Financial Officer (CFO) roles, or corporate enterprise regional capital management divisions.