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Tristar Group

Senior Accountant- Treasury

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Job Description

We are looking to hire a qualified Chartered Accountant as a Senior Accountant- Treasury for our Corporate office in Dubai.

Job Responsibilities

  • Maintain list of all banking relationships and related documentation.
  • Prepare short-term and long-term cash flow forecast.
  • Prepare cheques & online bank transfer advice.
  • Accounting of bank and treasury transactions.
  • Perform bank reconciliations.
  • Perform trade finance transactions including applications for LC, Bank Guarantees and import finance transactions.
  • Maintain adequate liquidity by balancing the cash position in all accounts.
  • Execute cash pooling across geographies.
  • Mitigation of foreign exchange exposure.
  • Circulate bank confirmation letters to all banks and financial institutions.
  • Liaise with external auditors and banks.
  • Prepare policies and procedures where necessary.
  • Perform other assigned tasks and duties which are necessary to support the treasury function.

Qualifications Required for the role:

Professional qualification such as CPA or ACA or similar.

Bachelor's degree in finance and Accounting

Equal Opportunity Statement

[Include a statement on commitment to diversity and inclusivity.]

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About Company

Job ID: 139173065