Summary
[ DUBAI JOBS Chief Treasury ]Employment:
Full Time
Job Duration:
Permanent Employment
The role is to manage and execute treasury activities; cash management, treasury operations, foreign exchange operations, buying/selling bonds, liquidity management, and banking relationship management.
Client Details
The client is a government entity whose primary vision is to grow the economy of developing countries with financial assistance in the form of loans, as well as other sources of funding.
Description
* Oversee cash flow & liquidity, and monitor accounts and amounts in banks.
* Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements
* Advise on the liquidity aspects of its short- and long-range planning
* Forecast cash flow positions, and funds available for investment.
* Prepare reports on the economic and financial conditions and interest rates in the local and global financial markets
* Ensure compliance with regulations and other rules governing cash transactions and banking
* Oversee linked deposits and follow up their registration and ensure compliance with relevant policies
* Analyse budgets and balanced sheets and report on current status.
* Manage the buying and selling of bonds as per the set strategy of the Investment Department
* Follow-up on sukuk and bond markets and conduct the proper reporting accordingly
* Build & maintaining relationships with key stakeholders.
* Carry out treasury risk management activities
Job Offer
* Excellent global exposure
* Growth opportunities
Location:UAE, Agency/Company:Michael Page. This application was posted on:Advertised 27 Apr 2020
DUBAI JOBS Chief Treasury
Responsibilities
Employment:
Full Time
Job Duration:
Permanent Employment
The role is to manage and execute treasury activities; cash management, treasury operations, foreign exchange operations, buying/selling bonds, liquidity management, and banking relationship management.
Client Details
The client is a government entity whose primary vision is to grow the economy of developing countries with financial assistance in the form of loans, as well as other sources of funding.
Description
* Oversee cash flow & liquidity, and monitor accounts and amounts in banks.
* Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements
* Advise on the liquidity aspects of its short- and long-range planning
* Forecast cash flow positions, and funds available for investment.
* Prepare reports on the economic and financial conditions and interest rates in the local and global financial markets
* Ensure compliance with regulations and other rules governing cash transactions and banking
* Oversee linked deposits and follow up their registration and ensure compliance with relevant policies
* Analyse budgets and balanced sheets and report on current status.
* Manage the buying and selling of bonds as per the set strategy of the Investment Department
* Follow-up on sukuk and bond markets and conduct the proper reporting accordingly
* Build & maintaining relationships with key stakeholders.
* Carry out treasury risk management activities
Job Offer
* Excellent global exposure
* Growth opportunities
About the Company
Michael Page is one of the world’s 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.
DUBAI JOBS Chief Treasury DUBAI JOBS Chief Treasury DUBAI JOBS Chief Treasury
Requirements
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* Bachelor’s in Finance/Accounting
* CFA / CTP certified preferred
* 6 – 8 years of experience in a similar role
* Experience in Treasury & Liquidity Management: Capital Markets, Dealing in FX markets, Cash Flow & Working Capital Management, Treasury Risk Management within a financial institution or commercial bank
* Must be a UAE National with family book
How To Apply
Please click the apply link to apply from the Company/Agency website