Group Treasurer and Forecasting Accountant
Location: UAE or UK based (with some hybrid working) (Remote: Employees work off-site)
Full-Time - Senior / executive-level.
About the job
The successful candidate will be working closely with operational and commercial leaders; will support commercial decision making while strengthening cash visibility across the Group.
He/She will also have the opportunity to be involved in a broad scope and to shape and grow the role over time.
This role is ideally suited to someone who enjoys working close to the business – partnering with operational leaders, challenging assumptions, and ensuring the Group has clear visibility of cash, risk, and opportunity. The position holder will provide insight that directly influence how the business operates and grows.
Job specific requirements:
- 5-10 years’ experience in a senior finance role, including at least 12 months in a treasury or cashflow position
- Strong experience of producing management accounts in a medium sized business
- Exposure to tenders, contract risk and commercial pricing
- Experience in multi-currency environments
- Advanced excel skills and experience using financial systems
- Commercially aware, detail orientated and confident challenging constructively
- If you are looking for a challenging influential role that offers learning and exposure where no two days are the same, we would welcome your application.
Please submit your CV along with your salary expectations and notice period. To apply for this position, use the application box below ↓
Posted: 6 March, 2026 | Closing date: 26 March, 2026



