
Hover or tap a row for full statistics (EUR / month on this chart).
Salary analysis
Compared with the selected benchmark ("All roles in Dubai, United Arab Emirates"), this listing's salary midpoint is about 92% lower. The offer sits below the benchmark range (€8,681–€13,311). Range-width comparison is limited because one of the salary bands is incomplete. This benchmark is based on 2 comparable listings.
| Market | Lower bound (25th percentile) | Median | Upper bound (75th percentile) |
|---|---|---|---|
| All roles in Dubai, United Arab Emirates | €8,681/per month | €10,996/per month | €13,311/per month |
| Pay in our data — not quoted in ad (Director) | €916/per month | €916/per month | €916/per month |
Role Overview The Director – Corporate FP&A owns consolidated financial reporting and analysis across the organization. This role is responsible for translating complex financial data into clear, actionable insights about group-level P&L movements and underlying business drivers. This director serves as the strategic financial communicator to senior management and internal stakeholders, ensuring consistency of financial narrative and quality of insights. Key Responsibilities Consolidated Financial Reporting - Own and coordinate consolidated financial reporting across the organization. Ensure consistency of data, methodology, and narrative across reporting streams. Maintain a single source of truth for IFS's financial position and performance. Reconcile variances, validate data quality, and drive continuous improvement in reporting processes and controls. Business Driver Analysis & Narrative - Lead deep analysis of group-level P&L movements—why did ARR change, why did gross margin move, what's driving operating leverage or expense growth. Articulate the business drivers (volume, pricing, mix, productivity, retention, operational efficiency) in clear, executive-ready narratives. Provide context that helps the Board and CFO understand what's sustainable vs. one-off in financial performance. Financial Commentary Development - Develop monthly/quarterly performance narratives, financial presentations, Board commentary, and financial forecasting documents. Coordinate across finance functions to ensure commentary is consistent, fact-based, and highlights the drivers of business performance. Own the messaging on financial health and strategic progress. Liquidity & Financial Planning - Support liquidity forecasting and cash flow analysis. Work with treasury and operations to model financial impact of business decisions. Provide early warning on financial constraints or opportunities for deployment. Ad-Hoc Strategic Analysis - Provide analysis which supports CEO, CFO, and Strategic Finance team with rapid-turnaround financial analysis on strategic initiatives, business cases, market conditions, and operational performance. Build financial models that enable scenario planning and decision-making. Qualifications Required Qualifications * 7+ years of financial analysis/reporting experience, with at least 3 years in a reporting leadership role * Deep expertise in consolidated financial reporting, P&L analysis, and business driver understanding * Proven ability to translate complex financial data into clear narrative and actionable insights * Strong financial modeling and forecasting skills in Excel * Excellent communication skills; ability to present financial insights to Board and C-suite * Demonstrated experience managing a team in a finance function * Bachelor's degree in Finance, Accounting, or related field; CPA or MBA preferred Preferred Qualifications * Experience in SaaS or high-growth software companies * Experience with investor relations or equity research * Exposure to enterprise planning tools (Oracle EPM, Adaptive Insights) * Experience with financial controls, audit processes, and regulatory reporting * Track record of building and developing high-performing finance teams Additional Information * A persistent nature and a willingness to understand and overcome operational challenges/obstacles. * Ability to understand processes and challenges and effectively communicate internally. * Ability to understand internal processes and navigate effectively. * Previous experience in a multinational technology company would be an advantage
Job Details
Responsibilities
- Own and coordinate consolidated financial reporting across the organization
- Maintain a single source of truth for financial position and performance
- Lead deep analysis of group-level P&L movements (ARR, gross margin, operating leverage)
- Articulate business drivers in executive-ready narratives for the Board and CFO
- Develop monthly/quarterly performance narratives, financial presentations, and Board commentary
- Support liquidity forecasting and cash flow analysis
- Provide rapid-turnaround financial analysis on strategic initiatives, business cases, and market conditions
- Build financial models for scenario planning and decision-making
Requirements
- 7+ years of financial analysis/reporting experience
- At least 3 years in a reporting leadership role
- Deep expertise in consolidated financial reporting, P&L analysis, and business driver understanding
- Proven ability to translate complex financial data into clear narrative and actionable insights
- Strong financial modeling and forecasting skills in Excel
- Excellent communication skills; ability to present financial insights to Board and C-suite
- Demonstrated experience managing a team in a finance function
- Bachelor's degree in Finance, Accounting, or related field
- CPA or MBA preferred
- Experience in SaaS or high-growth software companies (preferred)
- Experience with investor relations or equity research (preferred)
- Exposure to enterprise planning tools like Oracle EPM or Adaptive Insights (preferred)
- Experience with financial controls, audit processes, and regulatory reporting (preferred)
Skills & Technologies
Education Level
Bachelor
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