hireejobsgulf

Treasury & Reporting Analyst

5.00 to 7.00 Years   Qatar   18 Aug, 2023
Job LocationQatar
EducationNot Mentioned
SalaryNot Mentioned
IndustryNot Mentioned
Functional AreaNot Mentioned

Job Description

About this role:HSE

  • Knowledge and observance of Company HSE policy, rules, and procedures.
  • Ensure all activities and work under the responsibility of the Finance division are performed with an Incident Free mindset.Cash Management & Reporting:
  • Prepare the Fixed Deposit forecasts, proposals, recommendations, and reporting.
  • Negotiate Interest rates with approved banks to ensure optimum cash management.
  • Conduct the vendor payments analysis on a monthly basis to ensure the cash forecasts accuracy
  • Analyze the root cause of pending payments and coordinate the resolution of the aged items.
  • Prepare the Shareholders Cash Distribution forecast & analysis in coordination with FP to accurately estimate the Advances to Shareholders (per the Cash Advance Agreement) and coordinate the payments entries with GA.
  • Prepare and present the Treasury dashboard and performance metrics
  • Liaise and resolve issues regarding banking activities and corporate credit cards together with relevant internal departments.Cash Forecasting & Analysis:
  • Prepare the short-term cash forecasts in collaboration with cross-functional teams (e.g., Financial Planning, Cost Control, C&P, MP, and HR) to estimate COMPANY cash requirements and the closing cash position (MCB).
  • Conduct the variance analysis on the short-term cash flow forecast
  • Analyze & report the expected cash requirements based on information from SAP and inputs from other departments.
  • Prepare the Cash Analysis Reports ITD/YTD (Cash Evolution, weekly/monthly performance & trends) to identify and recommend remedies and improvement opportunities.
  • Prepare and update the Daily Cash Balances Report, monitor the funds movement to ensure the Minimum Cash Balance (MCB) is maintained in a day-by-day basis.
  • Consult financial literature to analyze financial data, industry trends and best practices, e.g., Interest rates, foreign exchange rates (FX), Commodity market, e.g., Crude Oil Prices.
  • Assist in developing and maintaining the Finance Integrated Dashboard and information systems
  • Conduct analyses to quantify and assess risk to business operations, using statistical analysis tools and the COMPANY risks model, e.g., Interest rate / FX risk.Policies & Procedures
  • Assists in the development and update of all Treasury related policies & procedures, ensuring that they meet accounting best practices, statutory requirements and changing business requirements,
  • Compliance with COMPANY Governance framework and documents, e.g., DFA, JVA, Escrow a/c & CAA agreements,
  • Continuously seeks to optimize areas within Treasury.Other
  • Perform any ad-hoc tasks as assigned by Lead, Treasury.
  • Preparation of various reports as and when required.
  • Collaborate on projects with internal and external stakeholders
  • Responsible for the timely reporting of Cash Management activities.
  • Act as a backup for other team members when required.
What you need to bring:
  • Experience in cash management knowledge of financial instruments for cash optimization
  • Knowledge of accounting principles and practices, the financial markets, banking, and the analysis and reporting of financial data.
  • Experience on SAP, e-banking solutions, and MS Office suite.
  • Critical thinking and analytical skills
  • Communication and interpersonal skills
  • Qualification: Bachelors degree in Accounting / Finance / Economics
  • Professional Experience: A minimum of 5 years of experience in a similar field within Finance

Keyskills :

About Company

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