| Job Location | UAE |
| Education | Not Mentioned |
| Salary | Not Mentioned |
| Industry | Not Mentioned |
| Functional Area | Not Mentioned |
Employment: Full Time My client is seeking an experienced treasury professional to join their Dubai business, operating across Europe & the Middle East.This is a key appointment for the business, the successful candidate will assume responsibility for the Groups day to day treasury activities. This role will manage the set-up of the Treasury function, as well as the implementation of robust systems and controls, and could grow into a more senior leadership role.Client DetailsMy client is a well respected, European trading organisation, looking to hire a Mid to Senior Treasury Manager to be responsible for all day to day cash management and treasury matters of the business. The company has grown rapidly in the last few years with significant customers and relationships across the globe.DescriptionThe responsibilities will include but not be limited to;* Maintain banking relationships* Use hedging to mitigate financial risks related to the interest rates on the companys borrowings, as well as on its foreign exchange positions* Develop, update and implement 13-week cash flow forecasting across the Group, working closely with FP&A, Finance and financial systems teams accordingly.* Work closely with Finance to manage group liquidity, minimising external borrowing and maximising yield.* Negotiating and evaluating overdrafts and loans with bankers;* Oversee interest rate forecasting, analysis and related sensitivities and scenario planning* Oversee / prepare monthly Board reporting.* Develop and manage regular Treasury reporting and MI for use within Treasury and Finance.* Selection and control of suitable bank counterparts, management of group Bank policy.* Participate in identification, assessment implementation and use of a treasury management system* Develop and Maintain Treasury policies and procedures manual.Job OfferIn return, my client can offer a highly competitive package of between 28,000 & 35,000 AED per month, plus benefits. REQUIREMENTS: The successful candidate will have;* 7+ years experience of treasury operations in a multi-national group, ideally in commodities.* Good accounting knowledge - a qualified treasurer or accountant will be highly beneficial* A pro-active, self-starter mindset* Influencing and negotiation skills.* Experience of implementing systems within finance/treasury.* Significant experience working in Corporate Treasury functions.* Experience working in organisations and Industries undergoing significant change.* Knowledge of treasury management systems, internet banking and other transactional systems.* Experience in Working capital management.* Experience in delivering cash management solutions.* Knowledge and experience of Trade finance* Advanced skills in Excel, Word, PowerPoint.* Perfect written & spoken English.
Keyskills :
Michael Page is one of the worlds leading professional recruitment consultancies, specializing in the placement of candidates in permanent, contract, temporary and interim positions with clients around the world.
The Group has operations in the UK, Continental Europe, Asia-Pacific and the Americas. In the Middle East we focus on the areas of:
Finance & Accounting
Banking & Financial Services
Procurement
Property & Construction
Engineering & Supply Chain
Oil & Gas Technical and Engineering
Human Resources
Sales
Marketing
Technology
Secretarial
Executive Search
Legal
The Group operates through 161 offices in 33 countries and employs over 5,000 employees worldwide.
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