Job Openings
Treasury Manager
About the job Treasury Manager
JOB PURPOSE
- Management of bank facilities, cash flows, bank loans, liquidity, funding sources and financial risks.
MAJOR RESPONSIBILITIES
- Develop and implement treasury policies, procedures, and controls to ensure effective treasury operations.
- Manage the company's cash flow by forecasting cash requirements, monitoring cash balances, and implementing cash management strategies.
- Monitor and analyze financial market conditions and assess their impact on the organization's financial position.
- Develop and maintain relationships with banks, financial institutions, and other external partners to optimize banking services, negotiate terms, and manage banking fees.
- Evaluate and manage the organization's risk exposure, including interest rate risk, foreign exchange risk, credit risk, and liquidity risk.
- Prepare and present treasury reports to senior management, highlighting key financial metrics, risks, and opportunities.
- Oversee the execution of financial transactions, including debt financing, capital raising, and foreign exchange transactions.
- Stay updated with industry trends, regulatory changes, and best practices in treasury management, and make recommendations for process improvements and efficiency gains.
EDUCATION/EXPERIENCE
- BSC OF Commerce Accounting Section
- 12-15 years Experience in the treasury function, out of which 3-4 years as a manager of heading the section
- Fluent English & Arabic reading and writing
- Microsoft office & internet browsing and searching
- Strong communication, negotiation, organizing, and high planning