ROLE PURPOSE:To assist in preparing Financial Planning (budgeting & forecasting), Capital Budgeting, Feasibility Studies for new projects, manage the bi-weekly cash flow forecast cycle, and liaise with Group Treasury Centre to ensure enough liquidity to meet financial obligations. This role will be based in Dubai, covering all operating markets (MENA & SEA) for Al Futtaim Retail Division.KEY ROLE SPECIFIC ACCOUNTABILITIES:1) Strategic Planning, Budgeting & Forecasting
2) Cash Flow Forecasting & Liquidity Management
3) Capital Budgeting and Business Development
4) MIS and Other financial Reporting
Keyskills :
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