203 Investment Portfolios jobs in Dubai
Optimizing Investment Portfolios with Advanced Analytics
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We are seeking a highly skilled Quantitative Portfolio Manager to join our team.
About the RoleThe Quantitative Portfolio Manager will be responsible for creating and implementing sophisticated investment strategies through advanced quantitative financial computer modeling systems. This will enhance analysis and research by providing expert buy and sell recommendations for portfolios using advanced quantitative mathematical statistics and investment theory.
- Create and implement advanced quantitative financial computer modeling systems to enhance analysis and research.
- Develop and implement sophisticated investment strategies that provide expert buy and sell recommendations for portfolios.
- Continuously conduct innovative quantitative research and analysis to optimize existing strategies and explore new markets.
- Acquire historical and production data sources through diligent research to aid in the construction of investment models.
- Link diverse data sets from various providers by designing and implementing quantitative mathematical algorithms.
- Engineer investment models that provide expert buy and sell recommendations for portfolios using advanced quantitative mathematical statistics and investment theory.
- Monitor and manage portfolio risk and performance.
To be successful in this role, you will need:
- An advanced degree in a quantitative discipline, such as finance, mathematics, or statistics.
- Demonstrated expertise as a Quantitative Portfolio Manager or in a similar role.
- Exceptional quantitative and analytical capabilities.
- Proficiency in programming languages, including Python, R, or MATLAB.
- Thorough understanding of financial markets and investment strategies.
- Outstanding problem-solving and decision-making skills.
- Aptitude for effective teamwork.
- Excellent communication and presentation abilities.
We offer a dynamic and challenging work environment that provides opportunities for growth and development. Our team is passionate about delivering high-quality results and making a positive impact on our clients.
Investment Portfolio Manager
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Are you looking for a challenging role that offers opportunities for career growth and professional development?
This position at our company provides the chance to work in a fast-paced industry with steep learning curves and tangible impact.
About This Opportunity- Make a valuable contribution to a highly motivated team committed to innovation and high performance.
- Gain exposure to an exciting, fast-paced environment with open communication, hands-on approach, quick decision-making, low bureaucracy, and a driven team.
- Experience start-up agility and shape the future of capital markets.
You will be part of a leading digital assets company based in Hamburg, providing investors with access to tokenized private markets investments.
The trading platform enables investments in a diverse range of alternative asset classes, including private equity, real estate, infrastructure, renewable energy, and collectibles.
Banks, asset managers, and other issuers benefit from an innovative infrastructure for the efficient structuring, tokenization, and placement of their investment products.
Our Company CultureWe offer individual onboarding and cross-functional teams to help you quickly adapt, shape the environment, and ensure your continuous development.
A competitive package includes health insurance and flight tickets, as well as opportunities for professional growth and development.
You will have the opportunity to work with a talented team of professionals who are passionate about innovation and excellence.
We believe in fostering a culture of collaboration, creativity, and open communication.
We are committed to providing a dynamic and supportive work environment that allows you to grow and succeed.
Senior Financial Analyst - Portfolio Management
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Our client is a leading financial services organisation, seeking an experienced professional to assist in attracting top talent. The successful candidate will play a key role in conducting financial due diligence, credit analysis, research and preparation of credit submissions and reports.
The individual will be responsible for monitoring an allocated portfolio of assets, reviewing and analysing complex financial data for corporate and individual borrowers. They will also maintain high-level discussions on allocated exposures, review feasibility reports, financial statements and financial, legal and technical due diligence reports.
The ideal candidate will have a solid understanding of reviewing, analysing and commenting on financial statements, as well as knowledge of evaluating all aspects of risk – market, operational and credit. They will also possess knowledge of legal and regulatory environments, with the ability to conduct quantitative analysis and complex financial modelling.
About this role:
- Responsible for monitoring an allocated portfolio of assets
- Review and analysis of complex financial data for corporate and individual borrowers
- Maintain high level discussions on allocated exposures
- Review feasibility report, financial statements and financial, legal and technical due diligence reports
- Examine credit, market and operational risk aspects of transactions
- Preparation of budgets and other reports for management
- Develop specialist knowledge in sector for preparation of reports to be used in business decisions
Key Skills:
- Minimum 3 years Accounting, Banking or Corporate Finance experience
- Bachelors Degree (Finance/Economics) from a recognised institution
- Solid understanding of reviewing, analysing and commenting on financial statements
- Knowledge of evaluating all aspects or risk – market, operational and credit
- Knowledge of legal and regulatory environments
- Ability to conduct quantitative analysis and complex financial modeling
- Strong data handling skills, covering interpretation and reporting
- Working knowledge of banking products and regulations
- Education qualification to degree level in relevant subject
We are committed to delivering pioneering recruitment solutions and consultancy services to organisations across the MENA region. Our team has extensive experience in providing search and selection, project and managed service solutions across various sectors.
- Construction & Development
- Banking & Financial Services
- Insurance
- IT & Telecommunications
- Engineering & Industry
- Shared Services (HR/Legal/Accountancy/Professional Support)
- Higher Education Recruitment / University (Faculty Staff)
- Media, Advertising,
- Marketing, PR & Communications
- Public Sector
Chief Investment Researcher – Financial Analysis
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Off Cycle Analyst Intern - Private Investments
Financial Analyst
Posted today
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Job Description
Passionate about fashion and technology? Join the coolest e-commerce team in the Middle East at Ounass! As the definitive home of luxury, we offer everything from fashion to beauty, watches, home, and jewelry, serving Middle Eastern customers with unparalleled style. Our culture fosters success, prioritizing customer and employee satisfaction. Part of the prestigious Al Tayer Group and based in vibrant Dubai, we're a diverse team of 500+ members across the globe, driving innovation and growth together. Join us and be part of something extraordinary!
At Ounass, we’re looking for a Finance Analyst to help us understand and manage our financial performance. In this role, you’ll support the team with financial reports, analysis, and insights that guide smart business decisions.
You’ll work on budgeting, forecasting, and tracking company spending, while also making sure our financial processes follow company policies and controls. Your work will help protect company assets, highlight risks, and find ways to improve efficiency and support growth.
- Provide support, service and advise on all financial matters to the company's management, i.e., budgets preparation, and presentation, management accounting, MIS, and all other financial and non-financial reports and statements.
- Liaise with all central and company departments for budgeting and forecasting purposes. Consolidate annual accounts and ensure timely audit of the annual accounts.
- Exercise budgetary controls, accounting, and physical control as per laid down procedures of asset management. Also exercise controls on other purchases and services.
- Ensure tax compliance; return filing for timely basis wherever applicable.
- Ensure proper insurance cover on company's assets in coordination with corporate finance.
- Carry out inventory control functions: like approval of orders, opening of L/Cs, retirement of documents, costing and pricing, insurance, review of inventory aging, etc., to ensure that laid down norms are observed.
- Ensure that credit limit controls and procedures are observed. Review collection and aging of debtors. Advise management on credit limits and provide MIS and exception reporting.
- Monitor internal/external payments on a timely basis and exercise internal controls so that payments are made as per the approved terms for goods and services supplied. Exercise controls on other purchases and services.
- Ensure that all accounting entries are incorporated in the company accounts after they have been approved as per the schedule of authority. Keep accounts up to date to reflect all transactions, including reconciliations with bankers, debtors, creditors, and group companies.
- Monitor bank balances against facilities to ensure that the company operates within the approved facilities. Project cash flows and advise appropriate authorities in case of likely shortfall. Ensure controls are exercised in cash collections, cash held, and banking.
- Forecast foreign exchange requirements and communicate to HO Finance, advising on any necessary changes.
- Review monthly and annual closing activities in accordance with corporate policies and IFRS, ensuring timely submission of management reports.
- Bachelor’s degree in Business, Economics, or a related field.
- 4 to 5 years of relevant experience.
- Qualified Chartered Accountant (CA) – mandatory.
- Experience in international accounting practices, and must have used SAP as the ERP system.
- Strong Excel skills and comfort working with financial systems.
- Familiarity with International Financial Reporting Standards (IFRS).
- Ability to analyze financial data and identify key insights.
- Strong numerical, research, and analytical skills.
- Good organizational skills and the ability to work under pressure and meet deadlines.
- Excellent communication and negotiation skills.
- Be part of a fast-growing luxury e-commerce leader in the Middle East.
- Work in a highly collaborative, data-driven environment.
- Opportunities for growth and career development in digital analytics and business intelligence.
Financial Analyst
Posted today
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Location: Dubai, UAE
Salary: AED 7500 - 9500
Job Application Deadline: August 31, 2023
Job Description
- Analyze financial data and trends to provide insights and recommendations for business decisions.
- Prepare financial models and forecasts to support budgeting and strategic planning processes.
- Conduct variance analysis to assess the financial performance and identify areas for improvement.
- Evaluate investment opportunities and perform financial due diligence.
- Assist in the preparation of management reports and presentations.
- Collaborate with cross-functional teams to gather relevant financial information.
Job Specifications:
- Bachelor's degree in Finance, Accounting, or a related field.
- 5+ Years of proven experience as a financial analyst or similar role.
- Strong analytical and quantitative skills.
- Proficiency in financial modeling and data analysis tools.
- Advanced knowledge of MS Excel and financial software.
- Excellent problem-solving and critical-thinking abilities.
- Strong presentation and communication skills.
Financial Analyst
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Direct message the job poster from Emirates Flight Catering
Talent Acquisition | HR Specialist | Executive Search Professional | Recruitment and Staffing Specialist | Recruitment ConsultantThe Financial Analysis unit supports EKFC’s strategic growth, profitability, and sustainability through data-driven insights and financial intelligence to guide informed business decisions.
Job Purpose
To deliver accurate and timely financial analysis and support decision-making by preparing business cases, validating financial data, and conducting economic research. The role includes maintaining financial dashboards and the finance factbook, supporting Lean Six Sigma projects, and developing basic financial models and insights to enhance operational and strategic performance.
Key Result Areas
- Research and provide timely updates on economic and industry trends to ensure the finance team remains informed and aligned with the broader business landscape.
- Create interactive dashboards and data visualisations using Microsoft Power BI and other tools to present insights in an accessible and actionable format.
- Update and maintain the Finance Factbook to reflect a comprehensive and current overview of the company’s financial performance.
- Support Lean Six Sigma projects by validating financial figures to ensure data integrity and alignment with business improvement goals.
- Assist in developing business cases and analytical outputs, working closely with internal stakeholders to meet deadlines and deliver high-quality outputs.
- Perform ad-hoc financial analysis and build basic financial models to evaluate business initiatives, providing accurate insights to support commercial decisions.
- Organise and maintain financial analysis documentation on the internal finance group site, ensuring all relevant reports, research, and case studies are systematically stored and accessible.
- Collaborate with cross-functional teams to ensure alignment with business strategies and contribute to process improvements across the finance function.
Job Context
The Financial Analyst operates in a dynamic and evolving finance environment and is expected to deliver accurate, insightful, and timely analysis. The role demands strong business acumen, attention to detail, and collaboration across departments. Autonomy is expected on non-complex tasks, with supervision provided for more strategic or sensitive projects. The analyst supports initiatives critical to improving performance, optimising financial outcomes, and enabling agile decision-making across a multi-dimensional business model.
Educational Qualifications
- Bachelor’s degree in Finance, Economics, Accounting, or a related discipline (required)
- Professional certifications such as CPA, CFA, or CMA (preferred)
Work Experience
- Minimum 5 years of relevant experience in financial analysis, preferably within a corporate or multinational environment
Technical Skills
- Strong financial modelling and analytical skills
- Advanced Excel skills and knowledge of financial software/tools
- Proficiency in Microsoft Power BI and data visualisation platforms
- Familiarity with Lean Six Sigma methodologies (preferred)
- Experience in preparing and reviewing business cases
Core Competencies
- Strong problem-solving and critical thinking ability
- Excellent verbal and written communication skills
- High level of accuracy and attention to detail
- Strong organisational skills and ability to manage multiple deadlines
- Collaborative approach with the ability to work cross-functionally
- Seniority levelExecutive
- Employment typeFull-time
- Job functionFinance and Analyst
- IndustriesFinancial Services, Food and Beverage Manufacturing, and Airlines and Aviation
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Financial Analyst
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Direct message the job poster from Hire Rightt - Executive Search & HR Advisory
Global Talent Acquisition Specialist | Oil and Gas | Executive Search | Headhunter | Uniting Top Talent with Leading RolesBased in Dubai,
Salary: AED 14,000- 17,000 + Self Benefits
A position available for a Financial Analyst for a leading distributor and retailer company of products from the technology, electronics, luggage, and home sectors.
Responsibilities:
- Conduct Financial Analysis and Reporting:
- Analyse financial data to identify trends, patterns, and insights that support strategic decision-making. Prepare accurate and timely financial reports in line with internal standards and external regulatory requirements.
- Business Planning and Budgeting:
- Lead the annual budgeting process, working closely with department heads to align financial plans with business objectives. Monitor budget performance throughout the year and ensure appropriate controls are in place.
- Monthly Reporting and Variance Analysis:
- Oversee monthly financial reporting, ensuring clarity and consistency in presenting results. Investigate variances between actuals and forecasts, providing clear commentary and actionable recommendations.
- Develop Financial Models and Forecasts:
- Build and maintain robust financial models to support business cases, scenario planning, and long-term forecasting. Ensure models are dynamic, user-friendly, and aligned with business drivers.
- Collaborate with Cross-Functional Teams:
- Partner with operations, sales, HR, and other departments to gather, validate, and interpret financial data. Provide support and financial insights to aid in operational and strategic planning.
- Prepare Presentations and Reports for Senior Management:
- Develop clear, concise, and visually engaging reports and dashboards. Present financial insights and updates to senior leadership to support business reviews and decision-making.
- Provide Insights and Recommendations:
- Translate complex financial data into actionable recommendations. Highlight areas of improvement, cost efficiencies, and potential growth opportunities based on thorough analysis.
Requirements:
- Bachelor’s degree in Finance, Accounting or related field
- Experience : 4-5 years in the same position financial analyst in UAE.
- Preference to be given to the person who works for Distributor companies in UAE
- Required Skills: Strong analytical skills, Experience with Power BI is compulsory
- Excellent experience in preparing reports in MS Excel
- Excellent communication and presentation skills
Email CVs to
Seniority level- Seniority levelMid-Senior level
- Employment typeFull-time
- Job functionFinance
- IndustriesRetail
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Get notified about new Financial Analyst jobs in Dubai, United Arab Emirates.
Senior Analyst / Junior Associate – MENA Investment BankingOff Cycle Analyst Intern – Private InvestmentsAssistant Manager - Financial Planning and AnalysisEquity Analyst - Oil & Gas - Long/Short Hedge FundEquity Analyst - Infrastructure - Long/Short Hedge FundFund Modelling Associate - Middle Office (Dubai Based)Senior Credit Analyst - Investment ProductsEquity Analyst - Chemicals - Long/Short Hedge FundEquity Analyst - Construction - Long/Short Hedge FundWe’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
#J-18808-LjbffrFinancial Analyst
Posted 1 day ago
Job Viewed
Job Description
Passionate about fashion and technology? Join the coolest e-commerce team in the Middle East at Ounass! As the definitive home of luxury, we offer everything from fashion to beauty, watches, home, and jewelry, serving Middle Eastern customers with unparalleled style. Our culture fosters success, prioritizing customer and employee satisfaction. Part of the prestigious Al Tayer Group and based in vibrant Dubai, we're a diverse team of 500+ members across the globe, driving innovation and growth together. Join us and be part of something extraordinary!
At Ounass, we’re looking for a Finance Analyst to help us understand and manage our financial performance. In this role, you’ll support the team with financial reports, analysis, and insights that guide smart business decisions.
You’ll work on budgeting, forecasting, and tracking company spending, while also making sure our financial processes follow company policies and controls. Your work will help protect company assets, highlight risks, and find ways to improve efficiency and support growth.
- Provide support, service and advise on all financial matters to the company's management, i.e., budgets preparation, and presentation, management accounting, MIS, and all other financial and non-financial reports and statements.
- Liaise with all central and company departments for budgeting and forecasting purposes. Consolidate annual accounts and ensure timely audit of the annual accounts.
- Exercise budgetary controls, accounting, and physical control as per laid down procedures of asset management. Also exercise controls on other purchases and services.
- Ensure tax compliance; return filing for timely basis wherever applicable.
- Ensure proper insurance cover on company's assets in coordination with corporate finance.
- Carry out inventory control functions: like approval of orders, opening of L/Cs, retirement of documents, costing and pricing, insurance, review of inventory aging, etc., to ensure that laid down norms are observed.
- Ensure that credit limit controls and procedures are observed. Review collection and aging of debtors. Advise management on credit limits and provide MIS and exception reporting.
- Monitor internal/external payments on a timely basis and exercise internal controls so that payments are made as per the approved terms for goods and services supplied. Exercise controls on other purchases and services.
- Ensure that all accounting entries are incorporated in the company accounts after they have been approved as per the schedule of authority. Keep accounts up to date to reflect all transactions, including reconciliations with bankers, debtors, creditors, and group companies.
- Monitor bank balances against facilities to ensure that the company operates within the approved facilities. Project cash flows and advise appropriate authorities in case of likely shortfall. Ensure controls are exercised in cash collections, cash held, and banking.
- Forecast foreign exchange requirements and communicate to HO Finance, advising on any necessary changes.
- Review monthly and annual closing activities in accordance with corporate policies and IFRS, ensuring timely submission of management reports.
- Bachelor’s degree in Business, Economics, or a related field.
- 4 to 5 years of relevant experience.
- Qualified Chartered Accountant (CA) – mandatory.
- Experience in international accounting practices, and must have used SAP as the ERP system.
- Strong Excel skills and comfort working with financial systems.
- Familiarity with International Financial Reporting Standards (IFRS).
- Ability to analyze financial data and identify key insights.
- Strong numerical, research, and analytical skills.
- Good organizational skills and the ability to work under pressure and meet deadlines.
- Excellent communication and negotiation skills.
- Be part of a fast-growing luxury e-commerce leader in the Middle East.
- Work in a highly collaborative, data-driven environment.
- Opportunities for growth and career development in digital analytics and business intelligence.
#J-18808-Ljbffr
Financial Analyst
Posted 1 day ago
Job Viewed
Job Description
Qualification: ACCA/CA/CPA + MBA or equivalent
Experience: 2–4 years in financial analysis, FP&A, or business finance
Industry: FMCG / Food & Beverage / Manufacturing preferred
About the Brand:
Join a pioneering Emirati brand on a mission to improve health and wellness by championing one of the region’s most powerful natural superfoods: camel milk. Blending innovation, heritage, and purpose, we’re reshaping the dairy industry with products that are rich in both nutrition and meaning.
Role Summary:
We’re looking for a motivated and detail-oriented Financial Analyst who is eager to support strategic decision-making through clear, accurate, and impactful financial analysis. This role is perfect for someone ready to grow in a purpose-driven company and contribute to meaningful innovation in the food and beverage space.
Key Responsibilities:
- Support the budgeting, forecasting, and variance analysis processes.
- Prepare weekly, monthly, and quarterly financial reports for internal stakeholders.
- Analyzing and reporting of sales country wise/product wise/category wise
- Monitor key KPIs across departments and highlight trends, risks, and opportunities.
- Assist in building financial dashboards and automation tools (Excel, Power BI, etc.).
- Collaborate cross-functionally with sales, operations, and marketing teams and share insights for improved decision making.
- Provide analytical support for pricing, promotions, and new product launches.
- Ensure accuracy and integrity of financial data across systems.
Ideal Candidate:
- 2–4 years of experience in financial planning & analysis, controlling, or similar roles.
- Strong proficiency in Excel and financial modeling; Power BI or Tableau is a plus.
- Knowledge of ERP systems (e.g., SAP, Oracle, or similar) is a strong advantage.
- Background in FMCG, F&B, or manufacturing environments is preferred.
- Strong attention to detail, critical thinking, and problem-solving skills.
- Passion for purpose-led business, wellness, or sustainability is a bonus.
- Fluent in English; Arabic is a plus.
Why Join Us?
- Be part of a visionary Emirati brand redefining health and wellness in the region.
- Work at the forefront of a fast-growing, innovation-driven dairy category.
- Help bring a nutrient-rich superfood to more people, both locally and globally.
- Collaborate with a passionate, agile, and mission-driven team.
- Enjoy a dynamic workplace where your work directly fuels business growth and positive impact.
- Seniority levelEntry level
- Employment typeFull-time
- Job functionFinance
- IndustriesFood and Beverage Manufacturing
Referrals increase your chances of interviewing at Emirates Industry for Camel Milk & Products "Camelicious" by 2x
Get notified about new Financial Analyst jobs in Dubai, United Arab Emirates.
Senior Analyst / Junior Associate – MENA Investment BankingOff Cycle Analyst Intern – Private InvestmentsAssistant Manager - Financial Planning and AnalysisEquity Analyst - Oil & Gas - Long/Short Hedge FundEquity Analyst - Infrastructure - Long/Short Hedge FundFund Modelling Associate - Middle Office (Dubai Based)Senior Credit Analyst - Investment ProductsEquity Analyst - Chemicals - Long/Short Hedge FundEquity Analyst - Construction - Long/Short Hedge FundWe’re unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI.
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