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Reji Isaac, Group Finance Manager

Reji Isaac

Group Finance Manager·Roots Advertising LLC,

United Arab Emirates

Master's degree, MBA-Finance

Work experience

Total years of experience: 28 years, 1 months

Group Finance Manager

November 2021 - October 2025

Roots Advertising LLC,

Dubai, United Arab Emirates

November 2021 - October 2025

• Reviewed and verified job costing for projects and conducted profitability analysis on each project
• Continuously evaluated and enhanced financial processes related to job costing and profitability reporting.
• Prepared monthly financial reports and periodical MIS reports, assisting with ad hoc requests as needed.
• Supervised the preparation of financial records encompassing general ledger, payroll, payable and receivables.
• Assessed current accounting systems and proposed enhancements as necessary.
• Prepared budgets and conducted financial forecasts, oversaw and tracked expenses compared to the budget.
• Identified and resolved accounting discrepancies, and other financial concerns.
• Liaised with Auditors to address inquiries related to VAT and year end audits.
• Maintained professional relationship with banks regarding facility renewals and ensured timely submission of
required documents for renewal processes
• Oversaw payroll processing, ensuring compliance with WPS requirements.
• Managed and supervised all aspects of Corporate Tax registration and VAT compliance, guaranteeing that financial
records and books were meticulously maintained in accordance with VAT regulations and led the quarterly VAT
filing process for the group, ensuring timely submissions and accurate reporting to regulatory authorities.

Company industry:
Advertising
Job role:
Manufacturing

Group Finance Manager

November 2017 - October 2021

Karmastaji Group,

Dubai, United Arab Emirates

November 2017 - October 2021

• Prepared budgets and financial forecasts, monitored progress and expenditure against the budget.
• Controlled expenses, developed monthly expense reports, and ensured budget alignment.
• Maintained professional relationships with banks, facilitating the renewal of banking facilities and timely
submission of required documents for the Group.
• Led quarterly group VAT filings, ensuring timely submissions and accurate reporting to regulatory authorities.
• Generated project monthly cost reports for tracking and control purposes.
• Prepared cash flow statements to ensure proper deployment and procurement of funds.
• Analyzed monthly Flash Reports and drafted financials for all properties on a monthly, quarterly, and annual basis.
• Analyzed working capital to anticipate future cash flow issues.
• Managed day-to-day finance and accounts for the property leasing/renting division, ensuring compliance with
corporate guidelines and group policies.

Company industry:
Real Estate
Job role:
Construction and Building

Group Finance Manager

November 2012 - October 2017

Hills and Fort Group,

Dubai, United Arab Emirates

November 2012 - October 2017

• Managed cash flows for Group companies, forecasting positions, borrowing needs, and investment funds, ensuring
sufficient funds for operations and capital investments.
• Built and maintained professional relationship with banks liaising for facilities such as LCs, TRs, overdrafts, bill
discounting, and various guarantees to meet operational needs.
• Prepared monthly financial reports and periodical MIS reports, assisting with ad hoc requests as needed.
• Monitored receivables from clients and payables to vendors, negotiating payment terms and managing the Ageing
report to ensure smooth cash flow.
• Oversaw payroll processing, ensuring compliance with WPS requirements.
• Conducted ongoing cost reduction analyses and interpreted financial results, recommending improvement activities.
• Established accounting controls by defining policies and procedures and setting up chart of accounts.
• Managed daily operations of the accounting department, including monthly closing of accounts.

Company industry:
Civil Engineering
Job role:
Construction and Building

Treasury Manager/Accounting Supervisor

October 1997 - October 2012

Paris Gallery Group,

Dubai, United Arab Emirates

October 1997 - October 2012

• Performed effective cash management by preparation and monitoring of cash flow statement for all group
companies, both consolidated and individual. Forecasted and budgeted cash flows.
• Oversaw debt management, ensuring timely repayment and managing refinancing activities for the companys debt
portfolio.
• Ensured liquidity management by maintaining sufficient funds in bank accounts to cover expenses and issued
Cheques, continuously monitoring financial covenants and compliance with contractual requirements.
• Built and maintained professional relationships with banks and financial institutions, negotiating banking facilities
such as lines of credit, loans, and other financial products.
• Participated in the development of the annual budget and long-term financial planning, monitoring expenses and
variances against the budget.
• Managed the daily activities of the accounting department, including accounts payable/receivable, payroll, general
ledger, and financial reporting.
• Prepared and reviewed financial statements and reports to ensure accuracy and completeness.
• Coordinated with internal and external auditors, prepared audit schedules, and addressed audit findings.

Company industry:
Retail & Wholesale
Job role:
Sales

Education

Karnataka state open University KSOU

July 2019

July 2019

Master's degree, MBA-Finance

India

GPA (percentage): 64%

GPA (percentage): 64%

Commerce and Accounting

Calicut University

July 1989

July 1989

Master's degree, Master Degree in Commerce(M.com)

India

GPA (percentage): 54%

GPA (percentage): 54%

Commerce and Accounting

Calicut University

July 1987

July 1987

Bachelor's degree, Accountancy

India

GPA (percentage): 60%

GPA (percentage): 60%

Bachelor Degree in Commerce

Skills

Cash Flow Management
Expert
Cash Flow Management
Expert
Oracle ERP
Expert
Oracle ERP
Expert
Cost Control
Expert
Cost Control
Expert
Budgeting and Forecasting
Expert
Budgeting and Forecasting
Expert
Financial Reporting
Expert
Financial Reporting
Expert
OPERATIONS
Expert
OPERATIONS
Expert
ACCOUNTING
Intermediate
ACCOUNTING
Intermediate
AUDITING
Intermediate
AUDITING
Intermediate
BUDGETING
Intermediate
BUDGETING
Intermediate
FINANCE
Intermediate
FINANCE
Intermediate
TREASURY SERVICES
Intermediate
TREASURY SERVICES
Intermediate
AUDITING
Intermediate
AUDITING
Intermediate
CONTRACT MANAGEMENT
Intermediate
CONTRACT MANAGEMENT
Intermediate
ADVERTISEMENT
Intermediate
ADVERTISEMENT
Intermediate
REAL ESTATE
Intermediate
REAL ESTATE
Intermediate
LEADERSHIP
Intermediate
LEADERSHIP
Intermediate
INTERPERSONAL COMMUNICATIONS
Intermediate
INTERPERSONAL COMMUNICATIONS
Intermediate
MICROSOFT EXCEL
Intermediate
MICROSOFT EXCEL
Intermediate
FORECASTING
Expert
FORECASTING
Expert
COLLECTIONS
Expert
COLLECTIONS
Expert
AUDIT SCHEDULES
Expert
AUDIT SCHEDULES
Expert
ACCOUNTS PAYABLE
Expert
ACCOUNTS PAYABLE
Expert
CASH FLOWS
Expert
CASH FLOWS
Expert
FINANCIAL STATEMENTS
Expert
FINANCIAL STATEMENTS
Expert
CASH MANAGEMENT
Expert
CASH MANAGEMENT
Expert
FINANCIAL PLANNING
Expert
FINANCIAL PLANNING
Expert
ERP System(Oracle Financials)
Expert
ERP System(Oracle Financials)
Expert
UAE Driving Licence
Expert
UAE Driving Licence
Expert
ERP Implementation
Expert
ERP Implementation
Expert
GO (PROGRAMMING LANGUAGE)
Expert
GO (PROGRAMMING LANGUAGE)
Expert
FILING
Expert
FILING
Expert
MANAGEMENT
Expert
MANAGEMENT
Expert
MS Office(Microsoft Word/Excel/Powepoint
Expert
MS Office(Microsoft Word/Excel/Powepoint
Expert
TREASURY
Expert
TREASURY
Expert
COMPLEX PROBLEM SOLVING
Intermediate
COMPLEX PROBLEM SOLVING
Intermediate
CONTRACT MANAGEMENT
Intermediate
CONTRACT MANAGEMENT
Intermediate
FINANCE
Intermediate
FINANCE
Intermediate
OPERATIONAL EFFICIENCY
Intermediate
OPERATIONAL EFFICIENCY
Intermediate
PROFITABILITY ANALYSIS
Intermediate
PROFITABILITY ANALYSIS
Intermediate
RETAIL EXPERIENCE
Intermediate
RETAIL EXPERIENCE
Intermediate
TREASURY SERVICES
Intermediate
TREASURY SERVICES
Intermediate
ACCOUNTING
Intermediate
ACCOUNTING
Intermediate
AUDITING
Intermediate
AUDITING
Intermediate
BUDGETING
Intermediate
BUDGETING
Intermediate
CONSULTING
Intermediate
CONSULTING
Intermediate
CONTRACT MANAGEMENT
Intermediate
CONTRACT MANAGEMENT
Intermediate
FINANCE
Intermediate
FINANCE
Intermediate
PROFITABILITY ANALYSIS
Intermediate
PROFITABILITY ANALYSIS
Intermediate
REAL ESTATE
Intermediate
REAL ESTATE
Intermediate
TREASURY SERVICES
Intermediate
TREASURY SERVICES
Intermediate
WOODWORKING
Intermediate
WOODWORKING
Intermediate
Cash Flow Management
Expert
Cash Flow Management
Expert
Oracle ERP
Expert
Oracle ERP
Expert
Cost Control
Expert
Cost Control
Expert
Budgeting and Forecasting
Expert
Budgeting and Forecasting
Expert
Financial Reporting
Expert
Financial Reporting
Expert

Social profiles

Personal Website
Personal Website

Languages

English

Expert

Hindi

Intermediate

Malayalam

Expert

Training and Certifications

Certifications
Digital Intelligence Certificate
IQ certification
Mar 2024

Training
Supervisory Development Program
Paris Gallery LLC

Hobbies and interests

Watching movies
Reading Books