
Dubai Holding Real Estate
Finance Manager β Cash Point Operations
- Permanent
- Dubai, United Arab Emirates
- Experience 5 - 10 yrs
Job expiry date: 01/03/2026
Job overview
Date posted
15/01/2026
Location
Dubai, United Arab Emirates
Salary
AED 30,000 - 40,000 per month
Compensation
Comprehensive package
Job description
The Finance Manager β Cash Point Operations at Dubai Holding Entertainment is responsible for overseeing and managing all cash-related operations across a diverse portfolio of entertainment and leisure destinations, including theme parks, attractions, cinemas, arenas, and multimedia platforms. The role leads the full lifecycle of Cash Point Operations, encompassing Bulk Cash Recycling Machines (BCRM), Cash Deposit Machines (CDM), POS systems, petty cash, and float distribution. The position supervises Cash Control Associates, ensuring strict adherence to company policies, audit requirements, and financial control standards while maintaining secure records of all physical and digital transactions. The role ensures secure storage, transfer, and deposit of cash, develops and enforces procedures to minimize fraud, theft, or loss, and collaborates with Treasury, payment aggregators, and service providers to support seamless cash and digital payment operations. Responsibilities include reviewing and validating daily, weekly, and monthly reports such as Cashier Reconciliation Reports, Daily and Weekly Sales Reports, third-party revenue share reports, and promotions and discounts reports. The role monitors BOT-generated reports, performs manual data integrity checks, resolves discrepancies in credit card and digital transactions, and acts as a liaison between IT, Treasury, Finance, and external partners to improve cash processes. This position requires strong expertise in cash operations, POS systems including Vista, VGS, EMBEDD, and Symphony, advanced Excel-based reporting, and leadership within a high-volume entertainment environment.
Required skills
Key responsibilities
- Supervise and provide day-to-day direction to Cash Control Associates ensuring compliance with financial controls and company policies
- Manage the full lifecycle of Cash Point Operations including BCRM and CDM machines across all locations
- Plan, distribute, and control petty cash and floats to ensure business continuity
- Ensure secure storage, transfer, and deposit of cash in line with internal control standards
- Develop and enforce cash handling and financial control procedures to minimize fraud, theft, and loss
- Collaborate with Treasury, payment aggregators, and service providers to manage cash and digital transactions
- Review and resolve discrepancies in credit card and digital transactions
- Review, validate, and analyze financial reports including Cashier Reconciliation Reports, Daily and Weekly Sales Reports, and revenue share reports
- Monitor BOT-generated reports and perform manual checks to ensure data integrity
- Act as liaison between IT, Treasury, Finance, and external partners to resolve operational issues and enhance cash processes
- Mentor, train, and evaluate team performance to maintain operational accuracy and integrity
Experience & skills
- Hold a bachelorβs degree in Finance, Accounting, Business Administration, or a related field, with CA, ACCA, CPA, or Masterβs degree preferred
- Possess 6β8 years of experience in cash operations, finance, or revenue control, including at least 3 years in a managerial or supervisory role
- Demonstrate strong knowledge of cash handling procedures, BCRM/CDM machines, POS systems such as Vista, VGS, EMBEDD, and Symphony
- Exhibit familiarity with payment aggregators, credit card processing, and treasury operations
- Demonstrate advanced Excel and financial reporting capabilities