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Treasury Specialist

3-6 Years
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Job Description

Job Title: Treasury Specialist

Location: Safaga, Red Sea, Egypt

Industry: Port Operations / Maritime Logistics

Job Purpose

The Treasury Specialist is responsible for managing the organization's liquidity, banking relationships, cash flow forecasting, and financial risk within a port operations environment. The role ensures optimal cash utilization to support vessel operations, cargo handling, and capital-intensive infrastructure activities.

Key Responsibilities1. Cash & Liquidity Management
  • Monitor daily cash positions across all bank accounts
  • Ensure sufficient liquidity for operational needs (fuel, port services, vendor payments)
  • Optimize cash allocation across multiple entities or terminals
2. Cash Flow Forecasting
  • Prepare short-term and long-term cash flow forecasts
  • Align forecasts with vessel schedules, cargo throughput, and seasonal fluctuations
  • Coordinate with operations and finance teams to improve forecast accuracy
3. Banking & Relationship Management
  • Maintain relationships with local and international banks
  • Manage bank accounts, signatories, and online banking platforms
  • Negotiate banking terms, fees, and credit facilities
4. Payments & Transactions
  • Oversee execution of all payments (local and foreign currency)
  • Ensure compliance with internal controls and approval matrices
  • Manage urgent payments related to vessel turnaround and port operations
5. Foreign Exchange (FX) Management
  • Monitor currency exposures (USD, EUR, EGP, etc.)
  • Execute FX transactions and hedging strategies where applicable
  • Minimize foreign exchange risk related to international shipping activities
6. Debt & Financing Support
  • Assist in managing loans, credit facilities, and leasing arrangements
  • Track debt schedules, interest payments, and covenant compliance
  • Support funding requirements for port expansion or equipment acquisition
7. Treasury Reporting
  • Prepare daily, weekly, and monthly treasury reports
  • Report on cash position, liquidity ratios, and financial risks
  • Provide insights to senior management for decision-making
8. Compliance & Controls
  • Ensure adherence to company policies and regulatory requirements
  • Maintain strong internal controls over treasury operations
  • Support audits (internal and external)
Qualifications & RequirementsEducation
  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • Professional certification (e.g., ACT, CFA, CPA) is a plus
Experience
  • 36 years of experience in treasury or corporate finance
  • Experience in port operations, shipping, logistics, or infrastructure is highly preferred
Technical Skills
  • Strong knowledge of cash management and treasury systems
  • Familiarity with ERP systems (SAP, Oracle, or similar)
  • Understanding of FX markets and banking instruments
Core Competencies
  • Analytical and problem-solving skills
  • Attention to detail and accuracy
  • Strong communication and stakeholder management
  • Ability to work under pressure in a fast-paced operational environment
Key Interfaces
  • Finance & Accounting Team
  • Port Operations & Logistics Teams
  • Procurement & Vendor Management
  • External Banks & Financial Institutions
Working Conditions
  • Based in Safaga port area
  • May require coordination outside standard hours due to vessel schedules and international transactions
KPIs / Performance Metrics
  • Accuracy of cash flow forecasts
  • Liquidity availability vs operational requirements
  • Timeliness and accuracy of payments
  • FX risk mitigation effectiveness
  • Compliance with internal controls and audit findings

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About Company

Job ID: 145358523