Finance Executive
fulltime_permanent executiveJob Overview
About the Company:
DB Investing is a rapidly expanding global brokerage firm providing advanced trading solutions across Forex, CFDs, commodities, indices, and cryptocurrencies. With a solid international presence and a diverse client base spanning multiple regions, we are dedicated to delivering excellence, transparency, and innovation. Our global team operates across key financial markets, empowering traders and partners with world-class technology, competitive conditions, and exceptional support.
Position Summary
We are seeking a highly detail-oriented Finance Executive to support our growing operations in Dubai. In this role, you will manage core accounting activities, ensure timely and accurate financial reporting, and maintain compliance with UAE financial, tax, and regulatory frameworks.
You will work closely with senior management, external auditors, and regulatory authorities while contributing to management accounts, reconciliations, financial analysis, and audit preparation. This is a hands-on role ideal for someone who enjoys structure, precision, and a fast-paced international environment.
Please note: This is a full onsite role with a 3:00 PM β 12:00 AM shift, suitable for candidates comfortable working late-day to midnight hours and commuting to our Dubai office.
Key Responsibilities
Financial Operations & Reporting
Manage daily accounting operations, including bookkeeping, reconciliations, and posting of financial entries in accordance with UAE accounting standards (IFRS).
Prepare monthly management accounts, financial statements, and supporting schedules ensuring accuracy and timely completion.
Oversee bank reconciliations and ensure smooth processing of accounts payable and accounts receivable cycles.
Compliance & Regulatory Requirements
Prepare, review, and submit VAT returns, tax filings, and other regulatory documentation in line with UAE Federal Tax Authority (FTA) requirements.
Ensure compliance with local financial regulations, corporate governance standards, and internal control policies.
Audit, Budgeting & Forecasting
Assist in budgeting, cash flow planning, and financial forecasting aligned with business needs.
Liaise with external auditors, tax advisors, and regulatory bodies during audits, assessments, and financial reviews.
Support year-end and quarterly audits with well-organized documentation and reconciliations.
Process Improvement & Control
Maintain accurate, up-to-date financial records in compliance with internal controls and company procedures.
Participate in process optimization initiatives to improve accuracy, increase efficiency, and strengthen financial controls.
Identify opportunities to streamline accounting workflows, implement best practices, and enhance reporting quality.
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