Group Treasury & Liquidity Strategy Lead

Remote DXB

Dubai

On-site

AED 502,000 - 781,000

Full time

13 days ago
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Job summary

Remote DXB in Dubai is seeking a seasoned Treasury Manager to lead daily cash management, forecast liquidity, and optimize group liquidity across multiple entities. You will oversee treasury structures, intercompany funding, and banking relations.

The role partners with CFOs and business leaders to manage loan facilities, FX and interest rate risks, and produce senior management reports. A strong background in holding groups or large corporates is essential.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or related field.
  • 8-12 years of treasury, banking, or corporate finance experience.
  • 3-5 years in a Treasury Manager role within a Holding Group or large corporate environment.
  • Experience dealing with multiple legal entities and subsidiaries.

Responsibilities

  • Monitor and manage daily cash positions across all group entities.
  • Develop and maintain cash flow forecasts (daily, weekly, monthly, and annual).
  • Optimize liquidity and cash utilization across the Group.
  • Oversee cash pooling, intercompany funding, and treasury structures.
  • Develop and maintain strong relationships with local and international banks.
  • Lead negotiations for banking facilities, fees, guarantees, and financing arrangements.
  • Manage the Group's loan portfolio and credit facilities.
  • Monitor foreign exchange, interest rate, and counterparty risks.
  • Prepare treasury and liquidity reports for senior management.
  • Partner with CFOs, Finance Managers, and business leaders across group companies.

Skills

Cash management
Liquidity planning
Banking facilities
Risk management

Education

Bachelor's degree
Master's degree

Job description

Remote DXB in Dubai is seeking a seasoned Treasury Manager to lead daily cash management, forecast liquidity, and optimize group liquidity across multiple entities. You will oversee treasury structures, intercompany funding, and banking relations.

The role partners with CFOs and business leaders to manage loan facilities, FX and interest rate risks, and produce senior management reports. A strong background in holding groups or large corporates is essential.

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