Lead Financial Planning & Analysis (FP&A), budgeting, and forecasting activities, ensuring accurate insights to support business decisions across ongoing and upcoming real estate projects.
Oversee treasury functions, including cash flow management, funding requirements, and investment activities, while ensuring compliance with company policies and market regulations.
Manage joint venture (JV) financial structures, cost control, and selling price analysis to optimize profitability and project ROI.
Liaise with internal and external stakeholders--including investors, banks, auditors, and regulatory bodies--on matters related to costing, taxation, and strategic financial planning
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