Job Title: Chief Financial Officer (CFO) Corporate
Location: Abu Dhabi, UAE (Onsite)
Employment Type: Full-time
Scope: Corporate Finance function with governance and oversight of subsidiaries in multiple countries
Role Purpose
Chief Financial Officer (CFO) is finance leader responsible for corporate-wide financial stewardship, governance, and performance management across Corporate and all subsidiaries operating in multiple jurisdictions. CFO shall ensure that each subsidiary's finance activities align with Corporate strategy, policies, controls, and reporting standards, while supporting sustainable growth, profitability, compliance, and value creation.
As a key member of Executive Leadership Team, CFO will oversee corporate consolidation and reporting, enterprise-wide planning and performance management, treasury and funding, tax governance, audit and risk controls, and finance transformation, ensuring a consistent corporate operating model and high-quality financial decision support to CEO.
Key Responsibilities
Corporate Financial Leadership & Strategy
- Develop and execute a unified finance strategy across subsidiaries aligned with corporate strategy, growth ambitions,capital structure, governance requirements, and stakeholder expectations.
- Lead corporate-wide financial consolidation and reporting, ensuring transparent and timely insights to stakeholders.
- Design and govern shared financial services, including central accounting, treasury, and compliance functions.
- Serve as a strategic business partner to CEO, providing independent financial judgement and strategic counsel.
Governance, Controls & Subsidiary Oversight (Corporate Model)
- Establish and enforce corporate finance policies, delegation of authority (DoA), financial controls, and governance frameworks across all subsidiaries.
- Implement robust internal control systems across all subsidiaries, with audit readiness and risk mitigation as core objectives.
- Ensure all subsidiaries adhere to corporate standards on accounting, reporting, treasury, tax, and financial operations (including local statutory requirements).
- Maintain strong corporate center oversight through structured performance reviews, governance calendars, and compliance reporting from subsidiaries.
Financial Planning, Budgeting, Forecasting & Performance Intelligence
- Lead corporate-wide annual budgeting, rolling forecasts, and scenario planning; ensure alignment between corporate targets and subsidiary plans.
- Drive performance management: set financial KPIs, evaluate variances, define corrective actions, and track delivery with subsidiaries leadership teams.
- Lead capital allocation and optimization decisions across subsidiaries, ensuring disciplined deployment of cash and investment capacity.
Consolidation, Reporting & Performance Intelligence (Corporate-wide)
- Own corporate financial consolidation and ensure timely and accurate production of corporate P&L, balance sheet, cash flow, and management reporting.
- Provide executive dashboards and insights across subsidiaries, business lines, and geographies, enabling clear performance accountability.
- Establish consistent reporting standards and close calendars, ensuring disciplined month-end and year-end processes across subsidiaries.
Commercial Finance, Value Creation & Business Partnership
- Standardize commercial finance practices across subsidiaries, including pricing governance, bid/no-bid frameworks, margin controls, and contract performance oversight.
- Support major contract negotiations and investment approvals with financial due diligence, risk assessment, and sensitivity analysis.
- Drive profitability improvement initiatives and sustainable cost optimization across subsidiaries.
Investment Strategy & Feasibility Studies
- Identify, evaluate, and prioritize investment opportunities across subsidiaries and new markets, integrating business cases, market analysis, financial modeling, risk assessment, and capital allocation framework.
- Establish and govern standardized investment and feasibility methodologies, templates, approval frameworks, and governance processes to ensure consistency, transparency, and disciplined capital deployment across the company.
- Ensuring commercial viability, financial sustainability, and alignment with stakeholder expectations.
- Provide clear, data-driven strategic recommendations to CEO on investment pipeline, portfolio performance, and go/no-go decisions.
Accounting, Compliance, Audit & Statutory Governance
- Lead accounting governance ensuring IFRS compliance, consistent accounting policies, and high-quality financial statements.
- Oversee internal and external audits across subsidiaries; ensure timely closure of audit findings and corrective action plans.
- Ensure statutory compliance across all jurisdictions while maintaining standardization and strong corporate oversight.
Corporate Treasury, Funding, Liquidity & Working Capital
- Lead corporate treasury operations, including banking strategy, liquidity planning, cash pooling, and funding structures.
- Oversee cash flow forecasting and working capital optimization across subsidiaries.
- Establish and enforce corporate policies for financial risk management (FX, interest rate, credit risk, counterparty exposure).
Tax Governance & Cross-Border Compliance
- Ensure compliance with UAE Corporate Tax and VAT (where applicable) and establish standards for tax governance across subsidiaries.
- Oversee transfer pricing governance, intercompany agreements, documentation, and cross-border compliance in line with international requirements.
Leadership & People Development
- Build a high-performing, values-led finance organization across corporate and subsidiaries.
- Coach subsidiaries finance leaders and strengthen finance capability, succession planning, and talent development across subsidiaries.
- Foster a culture of accountability, transparency, continuous improvement, and ethical financial stewardship.
Qualifications & Requirements
- Master's degree in finance, Accounting, or related field; Master's/MBA preferred.
- Professional certification (e.g., CPA, ACCA, CMA) is highly desirable.
- 15+ years of progressive financial leadership experience, with at least 5 years in a corporate CFO or equivalent capacity overseeing multiple subsidiaries.
- Deep knowledge of IFRS, corporate taxation, audit, and governance in a multi-entity environment.
Core Competencies (Corporate CFO Profile)
- Enterprise mindset with strong governance discipline and ethical judgement
- Strategic thinking and value creation orientation
- Strong leadership across cultures and geographies
- Ability to standardize while respecting local statutory realities
- Clear executive communication and influence (CEO Level)
- Strong analytical capability with practical execution focus