Accounting And Finance

Unlocking Financial Stability and Growth.

We help companies perform better and make sound financial decisions by providing up-to-date, accurate and meaningful financial information within an adequate time.

Our financial planning and analysis services include detailed modelling, forecasting, and valuation to depict your financial standing and prospects. We help you maintain strong balance sheets and long-term financial sustainability by identifying and addressing potential risks and inefficiencies.


Core expertise:

Bookkeeping, transactional support and tax compliance services

Complete end-to-end accounting services begin with tailored accounting processes, controls, and technology applications committed to ensuring compliance with UAE regulations and driving your business's success through precision and integrity.

Our team will bring operational efficiencies by streamlining your day-to-day accounting tasks and offering suggestions and additional expertise as opportunities, challenges, or questions arise.

Financial analysis and management reporting

By receiving accurate and up-to-date financial reports on a consistent basis, management can monitor financial performance in accordance with key performance indicators (KPIs) for each business function or segment and identify specific areas or business departments that require further attention.

We deliver reports that aid in decision-making, such as budgets, forecasts and monthly variance analysis.

Strategic planning and investment management advisory

Our advisory services provide strategic planning, economic impact analysis, project feasibility studies, investment advisory, and comprehensive risk management.

Our team of experts understands the complex and often unpredictable nature of the U.A.E. industry and can provide the financial insight and support you need to succeed. We have extensive experience assisting startup companies from formation to expansion.

Your partnership with us ensures empowering your organisation to operate more effectively, reduce risks, and grow sustainably in a competitive market through:

  • Enhanced Financial Clarity

    Gain precise insights into your financial health through accurate and detailed reporting, enabling better decision-making and strategic planning.

  • Streamlined Compliance

    Ensure smoother compliance with regulatory requirements, reducing the risk of penalties and enhancing your business's reputation.

  • Optimized Cash Flow

    Improve cash flow management to ensure your business has the liquidity needed to operate efficiently and invest in growth opportunities.

  • Cost Efficiency

    Achieve significant cost savings through optimized accounting processes and effective financial management strategies.

  • Business Scalability

    Experience seamless business expansion with scalable financial solutions that grow with your company, ensuring sustainable long-term success.

Financial Consulting Services

Our Corporate Finance team is focused on building lasting partnerships by providing actionable insights and high-impact strategies that support sustainable business evolution.

Leveraging our deep relationships with leading UAE financial institutions, we deliver customised financing strategies that align with each client’s unique business needs.

Applying deep knowledge and expert advice, our specialists are committed to excellence in both execution and advisory services on methods to manage your finances more effectively and make informed decisions for improved performance.

Strategic Advisory for Growth, Transaction and Value Creation

Our Corporate Finance services empower clients to make informed decisions that drive growth and maximize shareholder value. With a deep understanding of the regional business environment and cross-border considerations, we provide strategic guidance across the following areas:

Valuation & Financial Modelling

Rigorous analysis, simulations and predictive models of various scenarios to quantify risk and uncertainty to support strategic decision-making and fair valuation for transactions or internal planning.

Mergers & Acquisitions (M&A)

End-to-end advisory on buy-side and sell-side transactions, from deal sourcing to negotiation and post-deal integration.

Equity Financing

Develop comprehensive contingency plans to avoid disruptions, losses, and strategic missteps in your business operations while ensuring business continuity and resilience.

Strategic Business Advisory

Guidance on restructuring, spin-offs, or growth initiatives to unlock long-term value.


Debt Structuring and Solutions

At GMS, we offer a comprehensive, one-stop platform navigating complex debt decisions with confidence. From growth financing to transaction-specific funding, we help you access the right capital—at the right time—through expertly structured, strategic debt solutions.

Whether you're managing day-to-day financing needs or executing a high-stakes transaction. Our Debt Structuring & Solutions team supports clients with end-to-end services—from optimizing capital structure to the structuring and execution of loans, securitizations, and event-driven bridge financing.

Loan Structuring and Execution

Advising on and arranging bespoke loan facilities—including term loans, revolving credit, and syndicated loans—suited to the client’s capital strategy and risk profile.

Securitizations

Designing and implementing asset-backed financing structures to release liquidity, reduce balance sheet risk, and diversify funding sources.

Event-Driven and Bridge Financing

Structuring fast, flexible interim capital solutions for mergers, acquisitions, or recapitalizations—designed to meet tight timelines without compromising on terms.

Refinancing and Liability Management

Restructuring and optimizing existing debt to lower costs, extend maturities, and improve cash flow certainty.


Financial Analysis and Management Reporting

Full insight into your financial performance through streamlined realtime data consolidation and reporting.

Our expertise in managing reporting services drives optimal efficiency by alignments in:

Management reporting and KPIs

Structured approach supports stronger planning and direction through clear, actionable insights into your financial and operational performance. Highlight metrics that matter most to the strategic goals, enabling timely and confident decision-making.

Regular management reporting packs, KPI monitoring and monthly variance analysis ensures consistent performance tracking and early identification of risks or opportunities.

Increased Cost Pressure

Identify inefficiencies and areas where costs can be reduced without compromising quality or performance. Budget and forecast to manage resource allocation and evaluate the impact of cost-saving measures that reduce cost pressures from rising operational costs, competitive market conditions, and economic uncertainties.

New Entity Group Integration 

Seamlessly integrate new entities into your group consolidation process by mapping and aligning accounting policies, standardising financial reporting formats, consolidating statements with the existing group's structure, and ensuring intercompany transactions are accurately recorded and eliminated.

Budget Preparation, Financial Planning and Analysis

Facilitate annual budget preparation for management planning and monitoring actual performance to report on detailed analysis of your financial position and cash flow needs, to provide the framework for working capital optimisation, liquidity risk reduction, and cashflow forecasting, ensuring that your business stays ahead of market and financial obligations and borrowing costs.


Cash Flow and Liquidity Management

Stay financially stable and prepared for growth. Avoid cash shortages, inability to meet financial commitments, increased borrowing costs, and financial instability.

Cashflow Generation and Management

Improve collection processes, negotiate better payment terms, and reduce unnecessary expenditures by turning delayed receivables, excessive inventory, and uncontrolled expenses into opportunities for rapid cash generation, cash release from balance sheets, and investments in cash and fluidity for market expansion.

Medium-Term Liquidity Management

Plan and control cash flow and funding needs over a medium-term horizon, typically from three months to two years. Ensures sufficient liquidity is available to meet upcoming obligations, support operations, and fund strategic initiatives, while also optimising the use of excess cash. By balancing short-term flexibility with long-term stability, mid-term liquidity management helps remain financially resilient and responsive to changing conditions.

Stakeholder Management

Streamlining communication and negotiations with stakeholders to align interests, support strategic initiatives, eliminate conflicts, and avoid delays in decision-making processes.

Stakeholder Intermediation

Tailor financial communication strategies and negotiation techniques that engage, inform, and align cooperative relationships with lenders, creditors, employees, unions, suppliers, customers, regulators, and shareholders.

Enhanced Perception and Governance

Develop and execute working capital management strategies that optimise the balance between your company's current assets and liabilities, maximise efficiency in accounts receivable and payable, manage inventory levels, and maintain sufficient cash reserves and financial stability.

Operational Efficiency

Reduce process bottlenecks, enhance overall performance, achieve greater productivity, and avoid increased operational costs and resource wastage through: 

Entity Priority and Corporate Simplification

Develop targeted strategies to rationalise intercompany balances, attain financial simplification, minimise management time spent on non-core entities and optimise your operational structure.

Operational Analysis and Improvement

Optimise business functions and processes to address areas of underperformance, improve transparency governance, and manage costs and expenses effectively


What can we help you achieve?

Accounting Services

Comprehensive end-to-end accounting services designed to unlock expertise and advanced tools for enhanced financial reporting and support operational performance and strategic decision-making.

Our essential services begin with tailored accounting processes, technology applications, and skill-building practices committed to ensuring compliance with industry standards and driving your business success through precision and integrity.

  • Set up and implement your company accounting system and establish accounting policies, processes and internal controls.

  • Provide support in transaction processing, such as online and cheque payments, customer invoicing, and statement of accounts. Ensure sufficient documentation and filing. 

  • Processing payments of monthly salaries, end-of-service and other employee payments. 

  • Monthly financial close process, general ledger maintenance, bank reconciliations and balance sheet schedules.

  • Prepare quarterly, interim and annual financial statements and external audit support.

  • VAT, corporate tax registration, filing of returns, and ESP Compliance.

Ready to Talk?

Connect with one of our experts to find out how we can solve problems to improve your performance and encourage your growth.