Overview

Job Description:

Responsibilities:

  • Liaise with all business verticals to report weekly group cash position and ensure implementation of action plans to make cash position more efficient.
  • Liaise with FSS team to maintain weekly escrow top up flow.
  • Prepare and maintain various power BI reports for internal and management reporting.
  • Prepare Ad-hoc reports of cash position, bank guarantees, escrow releases etc. for management and HOD.
  • Open new bank accounts and completing KYC process in UAE and other jurisdictions.
  • Establish online banking access for new and existing bank accounts.
  • Coordinate with bank for other account related queries and issues.

About DAMAC Properties

Join us on a dynamic journey of innovation, global presence, and commitment to diversity. Headquartered in Dubai since 1982, we have evolved from our catering and logistics origins to our purpose of reshaping possibilities and enriching lives. DAMAC has grown exponentially to an impressive portfolio, including luxury real estate developments, hospitality experiences, data centres, retail, fashion, and capital markets. Our philosophy centres on 'People First,' as we prioritise nurturing every single member of DAMAC. We actively promote fun, inclusion, growth, and wellness.