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Finance Manager — FinTech Treasury & Regulatory Reporting

OSL

Dubai, UAEAED 15,000-35,000/moToday
UAEFinance & AccountingFull Time

Skills Required

AccountingProcurement

Job Description

The Finance Manager oversees accounting, financial controls, treasury support, reconciliations, and regulatory reporting for the Company’s VARA-licensed VASP operations. The role ensures accurate books and records, proper client and proprietary fund segregation, capital and liquidity monitoring, audit readiness, and adherence to financial governance standards across virtual asset activities.Responsibilities:Maintain accurate accounting records, ledgers, journals, and supporting documentationManage month-end, quarter-end, and year-end closes; prepare management accounts and audit-ready reporting packsPerform and review reconciliations for bank, wallet, client money, proprietary assets, intercompany, and suspense accountsSupport client money segregation and evidencing of separation between client and proprietary balancesMonitor capital, liquidity, and funding forecasts; escalate prudential or financial control issues promptlyOversee treasury and payment controls, including maker-checker, signatory governance, and controlled fund releaseCoordinate audit responses and maintain schedules for internal, external, and regulatory inspectionsSupport regulatory reporting, licence submissions, and prudential filings as requiredManage expense, procurement, tax, and statutory accounting processesIdentify process improvements to strengthen financial controls, reduce manual risk, and enhance reconciliationsCollaborate with Operations, Trade, Wallet, Compliance, Legal, HR, and Technology on accounting and control impacts of new products or transactionsQualifications:Bachelor’s degree in Accounting, Finance, Economics, or related disciplineProfessional qualification (ACCA, ACA, CPA, or equivalent) preferred5+ years of finance, accounting, controllership, or audit experience in financial services, fintech, securities, payments, or virtual assetsStrong experience in reconciliations, general ledger control, management reporting, and audit supportExperience with client asset environments, treasury controls, or regulated reporting strongly preferred#J-18808-Ljbffr