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We are looking for a Treasury Manager to manage treasury operations and financing activities for our client, a large semi-government entity in Dubai.
This role requires strong experience in treasury operations, cash and liquidity management, debt management, capital raising, and Treasury Management Systems (TMS), with the ability to support day-to-day treasury functions and strategic financing initiatives.
This is a 12-month renewable contract within the organization and reports to the Director of Finance in the Finance department.
Key Responsibilities:
Knowledge, Skills & Experience:
Availability: Preference will be given to candidates available immediately or within a maximum of 30 days after accepting the offer.
We are looking for a candidate who will be able to work in the United Arab Emirates. Please apply with your resume and remember to provide us with your contact details.
We will review your job application within 7 working days. Should your profile fit the requirements of the role, a consultant from Edari will be in touch with you to get a deeper understanding of your profile, discuss the role in more detail, and explain the potential next steps.
Job ID: 151739631
Skills:
Excel, SWIFT SCORE portal, Quantum Transactions, Insurance Management, Cash Flow Management, TMS ERP systems, Evolve FX portal, Banking Operations, Treasury administration
Skills:
Liquidity Management, covenant compliance, interest-rate risk management, lender reporting, Financial Modelling, multi-currency funding, Structured Finance, capital structure execution
Skills:
Sap Hana, FIS, GTreasury, accounting treatments, cash pooling, Cash Flow Forecasting, treasury products pricing, Kyriba, Financial Modeling