About the Company
A leading real estate developer in Abu Dhabi is seeking an experienced Treasury Manager to lead its treasury function and support the delivery of a substantial portfolio of landmark developments.
About the Role
This is a strategic leadership role, reporting to the senior finance leadership team, with responsibility for funding strategy, liquidity management, banking relationships and financial risk across the Group.
Responsibilities
- Developing and implementing the Group's treasury strategy, policies and governance framework.
- Managing liquidity, cash flow forecasting and working capital across a multi-entity business.
- Leading all financing activities, including debt facilities, project funding, refinancing and capital optimisation.
- Building and managing relationships with local and international banking partners and financial institutions.
- Monitoring funding arrangements, ensuring compliance with lending obligations and supporting future financing initiatives.
- Managing foreign exchange and interest rate exposure through effective risk management strategies.
- Supporting major development projects with funding, financial structuring and treasury advice.
- Overseeing bank guarantees, letters of credit and other financial instruments required across the business.
- Driving improvements in treasury systems, reporting, controls and operational efficiency.
- Leading and developing the treasury team while partnering closely with Finance, Commercial and Project teams.
Qualifications
- Degree qualified in Finance, Accounting, Economics or a related discipline.
- MBA or professional qualification such as CFA, ACT, ACCA or CPA is advantageous.
- 15+ years experience within treasury and corporate finance, including at least five years in a senior leadership role.
- Proven background within real estate development, construction, infrastructure or another capital-intensive sector.
- Strong experience securing and managing corporate and project finance facilities.
- Excellent knowledge of liquidity management, cash forecasting, banking relationships and treasury risk management.
- Good understanding of GCC financial markets and financing structures, including exposure to Islamic finance.
- Experience working with treasury management systems and ERP platforms such as SAP or Oracle.
- Strong commercial acumen with the ability to support strategic business decisions.
- Excellent communication and stakeholder management skills, with experience engaging senior executives, lenders and external partners.
- Strong experience in treasury and corporate finance.
- Excellent knowledge of liquidity management and treasury risk management.
- Experience with treasury management systems and ERP platforms.
- MBA or professional qualification such as CFA, ACT, ACCA or CPA.
- Experience in real estate development or capital-intensive sectors.
Pay range and compensation package
Competitive tax-free salary, comprehensive benefits and excellent long-term career progression.