| Job Location | Abu Dhabi, United Arab Emirates |
| Education | Not Mentioned |
| Salary | Not Mentioned |
| Industry | Other Business Support Services |
| Functional Area | Not Mentioned |
Manager Treasury (Cash Management) Manager Treasury (Cash Management) Location: Abu Dhabi, AE #job-location.job-location-inline { display: inline; }SynopsisWork with multiple on- and off-line locations in the countries where the airline operates, as well as divisions within the Etihad Aviation Group, including, but not limited to, tax, finance, and subsidiaries to ensure that Group Treasury has a clear understanding and overview of all financial market risks to which the Group is exposed, as well as cash and working capital activities, and build on these to provide Group and Subsidiary exposures, cash flow forecasts and cash positions as the basis to develop, propose and gain approval for cash and working capital management strategies to reduce the group?s exposure to financial risks, minimize borrowing requirements, and maximize the effective yield on surplus funds within approved policy and strategy limits.The role falls within the centralized Group Treasury in Abu Dhabi and is a key role in the broader Group Treasury team, provides management input across the Group Treasury Team.Accountabilities
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