Manager-treasury
7 months ago
**Job Summary**:
To support the Director Treasury in handling overall treasury operations including relationship management with banks, cash management and forex hedging
**Roles & Responsibilities**:
- Work in close coordination with Director Treasury and develop / maintain strong banking relationships outside UAE
- Devise mechanisms to handle long term loans for projects with huge CAPEX requirement
- Ensure timely mobilisation of working capital and term funds on optimum terms
- Work in close coordination with Director Treasury to devise innovative financing options, negotiate with banks and use funds effectively to ensure savings in financial costs and bank charges
- Support the Director Treasury in all related activities like consolidation, analysis and forecast of IFFCO’s cash flow, maintain relationship with banking and credit rating agencies
- Support the Director Treasury in evaluating and managing of interest risk of IFFCO. Provide support in the evaluation and monitoring of any investment decisions
- Support the Director Treasury in Working Capital Management including short, medium-and long-term cash flow forecasting framework, strategic and operational cash flow forecasting, cash flow forecast performance analysis
- Assist in planning, organizing and controlling all operations of Cash Management. Monitor overall cash position including reporting of cash balances on a daily basis, review of aggregate cash position, identification of short term cash requirements or surpluses, identification of petty cash reconciliations
- Manage short term cash requirements and surpluses including determination of cash deficits and surplus
- Monitor group term loans and working limit and negotiate with different banks for a surplus cash pooling facility whenever necessary
- Calculate cost of funds for the group and devise mechanisms to reduce the working capital costs
- Conduct benchmark studies of banks and their services to evaluate as per IFFCO’s requirements
- Perform KYC to identify and verify the identity of the bank
- Work in close coordination with the Director Treasury and ensure that non-USD, non AED exposure is hedged in an effective and appropriate manner
- Develop relationships with new banks for trade financing and handle trade financing activities of the business units
- Ensure successful implementation of all new regulatory and statutory reporting requirements in respect of Treasury and ensure compliance with the credit policy for various banks
- Ensure all transactions related to cash and bank are posted in books of accounts and reconciled in a timely manner with a high degree of accuracy
- Understand leading practices and trends in terms of treasury management. Evaluate best practices and support the Director Treasury in implementation of the same across IFFCO
**KPIs**:
- Cycle time for providing funds
- Relationship building with banks
- Deviation from projected cash flows
- Average returns on investments compared to last year
- Cost of funds
**Work experience requirement**:
8+ years of related experience preferably within a large group with exposure of handling huge volumes of cash
**Qualification**:
CA or Masters in Business Administration with specialisation in Finance
**Competencies**:
- Ownership & Result Orientation
Capital Markets Analysis
Hedging
Micro and Macro Economic Indicator Analysis
Fund Raising
Negotiation Skills
Self and Team Management
Planning & Decision Making
Strategic Thinking
Change Management
- Business Unit: Corporate-Group Treasury (4204)- Business Group: Finance (234)
-
Treasury Manager
4 weeks ago
Dubai, United Arab Emirates Oneroad Automotive Trading Full time**Job Title: Treasury Manager** **Work location: Al Quoz, Dubai (Near Onpassive Metro Station)** **Prefer immediate joiners** **Responsibilities**: - Working closely with the business to minimize financial risk - Reviewing funding needs, monthly reporting of all treasury activities to senior management - Overseeing cash and liquidity management through...
-
Treasury Manager
2 months ago
Dubai, United Arab Emirates Al Ali Holding Full time**Job Title: Treasury Manager** Location: Dubai, UAE Employment Type: Full-Time About Us: We are a new born full fledge crypto exchange committed to providing secure and innovative trading solutions. With a growing user base and expanding operations, we are seeking a skilled Treasury Manager to oversee the management and movement of assets within our...
-
Treasury Manager
6 days ago
Dubai, United Arab Emirates CharterHouse Full time**Job description**: Charterhouse is working with a large global commodity trading company who is looking to recruit a seasoned Treasury Manager for their growing Dubai office. Our client delivers bulk commodities to more than 40 countries and has offices in 20 countries worldwide, which is evidence of their impressive global footprint. **About the...
-
Manager Treasury
7 days ago
Dubai, United Arab Emirates Talabat Full timeWhen you think of food delivery in the MENA region, we’d be pretty surprised if talabat didn’t pop into your mind first! Since delivering our first order in Kuwait in 2004, we’ve grown quite a lot over the past 17 years. Today, we deliver hundreds of millions of food orders, grocery items and other products per year, to our customers in nine countries...
-
Treasury Manager
1 week ago
Dubai, United Arab Emirates NTS Group FZLLE Ltd Full time**NTS Group** is working with one of the leading pharmaceutical companies in the Middle East, Africa, and CIS regions. The business is growing rapidly and has a strategic focus on selected therapeutic categories has contributed to the rapid growth, market acceptance, and overall success of the company. The position of Treasury Manager is responsible for...
-
International Treasury Manager
7 months ago
Dubai, United Arab Emirates AECOM Full time**Company Description** Work with Us. Change the World.** At AECOM, we're delivering a better world. Whether improving your commute, keeping the lights on, providing access to clean water, or transforming skylines, our work helps people and communities thrive. We are the world's trusted infrastructure consulting firm, partnering with clients to solve the...
-
International Treasury Manager
7 months ago
Dubai, United Arab Emirates AECOM Full timeCompany Description Work with Us. Change the World. At AECOM, we're delivering a better world. Whether improving your commute, keeping the lights on, providing access to clean water, or transforming skylines, our work helps people and communities thrive. We are the world's trusted infrastructure consulting firm, partnering with clients to solve the...
-
Associate Manager-treasury
2 weeks ago
Dubai, United Arab Emirates IFFCO Full time**Job Summary**: - Governance, Risk, and Compliance related to Group Treasury across global BUs - Implementation of Treasury Policy & Processes - Widening the scope of Periodic Treasury Engagements & Reviews - Building Treasury data structure and data pool for in-depth data analysis **Roles & Responsibilities**: - Meet the internal compliance as agreed...
-
Treasury Analyst, Treasury
7 months ago
Dubai, United Arab Emirates Amazon Middle East and North Africa FZ-LLC Full time2+ years of finance experience - Knowledge of standard software including Excel, Access, Oracle, Essbase, SQL and VBA skills - Experience using data to influence business decisions Amazon is seeking a Treasury Analyst to join our global cash management team in Dubai on a 1 year contract. The Treasury department is a fast-paced, team-focused, dynamic...
-
Treasury Manager
2 weeks ago
Dubai, United Arab Emirates BergMind technology LLC Full time**Treasury Manager** The Treasury will be overseeing the general financial management of the company. Planning and keep track of budgets within the company, collect, deposit, and keep track of funds, write cheques, and provide financial reports regularly to fellow committee members. Ensuring the protection of the committee’s funds. And will also be...
-
Head of Treasury
1 week ago
Dubai, United Arab Emirates HAYS Full timeHead of Treasury with experience working in Treasury for an international Oil & Gas Trading company. **Your new company** I’m currently assisting an International Oil & Gas Trading company with their search for a Head of Treasury Officer to join their operations in Dubai. **Your new role** Reporting to the Chief Financial Officer and working in a well -...
-
Treasury and Investment Manager
7 months ago
Dubai, United Arab Emirates FitBox Life Full time**Key Responsibilities**: - Manage the company’s cash flow and liquidity to ensure financial stability and operational efficiency. - Develop and implement treasury policies, procedures, and strategies. - Monitor and analyze market conditions to make informed investment decisions. - Oversee the company's investment portfolio, including real estate...
-
Treasury Analyst
7 months ago
Dubai, United Arab Emirates athGADLANG Full timeaG Resources is looking to connect with Treasury Analyst on an immediate basis for a reputable client. Location: Dubai Job Responsibilities: - Strong Corporate Treasury knowledge - Understanding of FX hedging and currency rate movements - Strong understanding of treasury products - Understanding of bank relationship management - Understanding of Treasury...
-
Treasury Analyst
2 weeks ago
Dubai, United Arab Emirates GFG Alliance Full timeUrgent Hiring for Treasury Analyst with 3-4 yrs experience **Responsibilities**: Daily operations Monitoring the automated bank statement integration with the group treasury management system (Kyriba) and fix any identified issues Treasury forecast reconciliation in Kyriba for daily payments/receipts and ensure transactions are correctly...
-
International Treasury Manager
2 months ago
Dubai, United Arab Emirates MANCON MANAGMENT CONSULTINCIES LLC Full timeLiaising with banks in China regarding transactions, compliance procedures, KYC updates, and verifying transactional documents. - Maintaining sound bank account operations, including TT, LC, and FX. - Building strong relationships with banks in China. - Supporting treasury and management reporting teams in preparing treasury and liquidity reports related to...
-
Treasury Accountant
4 months ago
Dubai, United Arab Emirates Hirenex HR Consultancy Services LLC Dubai Full time**Role Description** This is a full-time on-site role for a Treasury Accountant at Hospital in Dubai, United Arab Emirates. The Treasury Accountant will be responsible for treasury management, cash management, cash flow analysis, and financial statement review on a day-to-day basis. **Qualifications** - Treasury Management, Cash Management, and Cash Flow...
-
Manager - Treasury Process Excellence
2 months ago
Dubai, United Arab Emirates Agility Full time**_Job Brief: _** **_Operational (35%)_**_: Responsible for the issuing and recording of guarantees/letters of credit. Managing the opening and closing of bank accounts. Verification of deal details and related confirmations to the bank. Providing back up for the back-office team as required. _ **_Strategic (65%)_**_: Supporting the team on process...
-
Head of Treasury
7 months ago
Dubai, United Arab Emirates Tiger Recruitment Ltd Full time**Job Title: Head of Treasury** Our client is a leading crypto trading and investment platform, they are looking for a passionate and strategic Head of Treasury to become part of their team. They are searching for a driven individual who can navigate the dynamic landscape of treasury management in the cryptocurrency domain and aid our organization's...
-
Head of Treasury
7 months ago
Dubai, United Arab Emirates Aswaar Consulting DMCC Full timeWe are looking for a **"Head of Treasury"** in one of the leading logistics company based in Dubai, UAE. - Cash Management - Risk Management - Bank Relationship Management - Investment Management - Debt Management - Treasury Reporting - Compliance **Qualifications and Key Requirements**: - Must be a Chartered Accountant (CA). - 6-7 years of progressive...
-
Treasury Analyst
7 months ago
Dubai, United Arab Emirates Al Tayer Group Full time**Roles and Responsibilities** - Cash Management: Preparation of daily, weekly, monthly reports. Support monitoring, managing of company’s cash flows and debt obligations. Coordinate fund movements between accounts and treasury investments to maximize returns and minimize idle cash. Communicating financial insights and recommendations to key...