Exciting opportunity to join a fast-growing international company that is expanding globally. The Treasury & Financial Operations Manager will work across departments and with external partners to lead multiple aspects of liquidity management in the EMEAA region.
My client is a top international company that operates across more than 100 countries and is continuously growing. Although a well-established corporation, the Dubai-based team has the dynamics and culture of a start-up.
The key responsibilities of this role include but are not limited to:
– Building upon the company’s current treasury framework and models to optimise liquidity management- Developing a strategy for the treasury team to optimise fund movement and currency coverage- Actively build and grow relationships and work closely with internal and external stakeholders to drive initiatives that maximise liquidity position- Implement controls to ensure risk management and elimination of redundancies
Candidates that will be seriously considered for the Treasury & Financial Operations Manager role will have the following qualifications:
– 7+ years of experience in treasury/liquidity management from a Tier 1 Bank- Ability and desire to work in a fast-paced, entrepreneurial culture- Experience dealing/trading currencies preferred
– Competitive salary- Above market bonus potential based on company and individual performance
|Job Location:||Dubai, United Arab Emirates|
|Job Role:||Accounting and Auditing|
|Company Industry:||Financial Services|
Source: Bayt Dubai JobsRegister to Apply Bayt jobs