Head of Treasury

Legend Holding Group

Dubai

On-site

AED 700,000 - 1,100,000

Full time

14 days+
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Job summary

Legend Holding Group in Dubai seeks a seasoned Head of Treasury to lead the Group Treasury across business units, ensuring liquidity, funding, and capital efficiency. You will report to the Group CFO, overseeing cash management, banking relationships, debt financing, and treasury modernization.

The role demands deep treasury expertise, strategic acumen, and the ability to partner with senior executives and lenders to drive growth and governance across the Group.

Qualifications

  • 12-15+ years of progressive Treasury and Corporate Finance experience.
  • Minimum 5 years leading a Treasury function at Group level.
  • Proven track record in debt raising and funding optimization.
  • Significant banking relationship management experience.
  • Experience managing complex funding structures and multiple financing facilities.
  • Strong exposure to treasury operations, liquidity management, and risk management.
  • Experience developing and implementing treasury policies and governance frameworks.

Responsibilities

  • Develop and execute the Group Treasury Strategy.
  • Optimize the Group's capital structure to support growth.
  • Lead debt raising, refinancing, and funding activities.
  • Structure and negotiate facilities and working capital arrangements.
  • Manage relationships with banks and financial institutions.
  • Ensure liquidity to support growth and operations.
  • Oversee treasury controls, governance, and risk management.
  • Lead treasury transformation and digitalisation initiatives.

Skills

Treasury strategy
Debt management
Liquidity management
Banking relationships
Cash flow forecasting
Leadership
Strategic partnering
Risk management

Education

Bachelor's degree in Finance
MBA in Finance
Master's in Finance
Treasury certifications (CTP/ACT/CFA)

Tools

Kyriba
FIS Quantum
SAP Treasury
Oracle Treasury
Power BI

Job description

Head of Treasury
Reporting To:

Group Chief Financial Officer (GCFO)

Location:

[Dubai/UAE]

Role Purpose

The Head of Treasury is responsible for leading the Group Treasury function across all business units, ensuring optimal liquidity, funding availability, capital structure efficiency, and financial risk management.

Reporting directly to the Group CFO, this role combines both strategic and operational treasury leadership, including cash management, banking and lender relationships, debt raising, working capital optimization, treasury transformation, digitalization initiatives, and treasury governance.

The role is particularly critical in supporting the Group's growth strategy by ensuring sustainable funding sources, efficient cash deployment, robust treasury controls, and implementation of best-in-class treasury processes and technology.

The successful candidate will act as the Group's treasury subject matter expert and trusted advisor to the CFO and Executive Leadership Team on all funding, liquidity, banking, and capital management matters.

Key Responsibilities
Treasury Strategy & Capital Structure Management
  • Develop and execute the Group Treasury Strategy aligned with corporate growth objectives.
  • Optimize the Group's capital structure to support business expansion and maximize shareholder value.
  • Evaluate funding requirements across business units and develop appropriate financing solutions.
  • Support strategic initiatives through treasury advisory and financial structuring.
  • Monitor market trends, interest rate movements, and financing opportunities.
Funding & Financing
  • Lead all debt raising, refinancing, and funding activities across the Group.
  • Structure and negotiate: Bilateral facilities, Syndicated loans, Revolving credit facilities, Asset-backed financing, financing facilities Trade finance solutions Working capital facilities
  • Manage relationships with local, regional, and international banks and financial institutions.
  • Lead lender due diligence and funding negotiations.
  • Ensure adequate liquidity to support business growth and operational requirements.
  • Manage covenant compliance and lender reporting obligations.
Liquidity & Cash Management
  • Develop robust short-term and long-term cash flow forecasting models.
  • Ensure effective liquidity management across all Group entities.
  • Optimize cash utilization and intercompany funding structures.
  • Oversee daily treasury operations, cash positioning, and cash pooling activities.
  • Drive centralization and visibility of Group cash balances.
Working Capital Optimization
  • Partner with Finance, Operations, Procurement, Commercial, and Fleet teams to improve working capital performance.
  • Develop initiatives to optimize: Accounts Receivable, Accounts Payable, Inventory levels, Vehicle funding cycles, Fleet utilization-related cash conversion
  • Improve cash conversion cycle metrics across the Group.
  • Monitor and report key working capital KPIs.
Financial Risk Management
  • Develop and implement policies for managing: Liquidity Risk, Interest Rate Risk, Foreign Exchange Risk, Counterparty Risk, Banking Risk
  • Recommend appropriate hedging strategies where required.
  • Monitor treasury risk exposures and ensure compliance with approved risk frameworks.
  • Present risk assessments and mitigation plans to senior management.
Treasury Operations & Controls
  • Lead all operational treasury activities ensuring strong governance and control.
  • Establish policies, procedures, and treasury controls aligned with best practices.
  • Ensure segregation of duties and compliance with internal control requirements.
  • Monitor treasury KPIs and performance metrics.
  • Support internal and external audits related to treasury activities.
Treasury Transformation & Digitalisation
  • Lead the modernization of the Group Treasury function.
  • Design and implement Treasury Transformation initiatives to create a scalable and efficient treasury operating model.
  • Implement Treasury Management Systems (TMS) and cash management technologies.
  • Drive automation of: Cash forecasting, Bank reconciliation, Payment workflows Treasury reporting Liquidity management
  • Develop DB reporting and analytics through Power BI and other digital tools.
  • Improve treasury data quality and visibility across the Group.
Banking & Stakeholder Management
  • Serve as primary relationship owner for banking partners.
  • Negotiate pricing, facility structures, and banking services.
  • Coordinate treasury activities with lenders, auditors, legal advisers, rating agencies, and external consultants.
  • Build strong relationships with internal stakeholders across business units.
Leadership & Team Development
  • Lead and develop the Treasury team.
  • Build a high-performance treasury function capable of supporting future business growth.
  • Promote treasury best practices and continuous improvement initiatives.
  • Develop succession planning and talent capabilities within the function.
Candidate Profile

The ideal candidate will possess deep treasury expertise combined with strong commercial acumen, strategic thinking, and experience operating within capital-intensive environments.

The individual must be capable of managing sophisticated funding structures, leading treasury transformation initiatives, and partnering effectively with senior executives and banking institutions.

Qualifications
Education
  • Bachelor's Degree in Finance, Accounting, Economics, Business Administration, Banking, or related discipline.
Preferred Education
  • MBA in Finance or Corporate Finance.
  • Master's Degree in Finance, Treasury, Economics, or related field.
Professional Qualifications

One or more of the following Treasury certifications strongly preferred: ACT , CTP or CFA

Finance qualification (ACCA, CPA, ACA or CIMA) on top of Treasury certification a strong plus

Experience Requirements
Essential
  • 12-15+ years of progressive Treasury and Corporate Finance experience.
  • Minimum 5 years leading a Treasury function at Group level.
  • Proven track record in debt raising and funding optimization.
  • Significant banking relationship management experience.
  • Experience managing complex funding structures and multiple financing facilities.
  • Strong exposure to treasury operations, liquidity management, and risk management.
  • Experience developing and implementing treasury policies and governance frameworks.
Preferred

Experience within: Automotive Mobility, Vehicle Leasing, Fleet Management Automotive Distribution, Transportation & Logistics, Infrastructure Capital-intensive businesses or Large regional conglomerates GCC and UAE experience strongly preferred.

Technical Competencies

Treasury Strategy, Debt Capital Management, Funding Optimization, Liquidity Management, Cash Flow Forecasting, Banking & Financial Institution Management, Working Capital Management, Treasury Risk Management, Foreign Exchange Management, Interest Rate Risk Management, Corporate Finance Capital Structure Planning, Treasury Transformation

Systems

Kyriba, FIS Quantum, SAP Treasury, Oracle Treasury, Power BI, ERP platforms

Key Performance Indicators (KPIs)
Strategic

Funding Cost Reduction, Diversification of Funding Sources, Liquidity Coverage Metrics, Capital Structure Optimization, Working Capital Improvements

Operational

Forecast Accuracy, Cash Visibility, Banking Cost Optimization, Covenant Compliance Treasury Control Effectiveness, Treasury Process Automation

Transformation

Treasury Digitalization Milestones, TMS Implementation Success, Reporting Automation

Treasury Efficiency Improvements

Ideal Candidate

A highly credible treasury leader with strong banking and corporate finance expertise who can operate as the CFO’s strategic partner on capital allocation, financing strategy, liquidity management, and treasury transformation. The individual should possess the commercial mindset to support a fast-growing automotive mobility business while building a best-in-class Treasury function capable of supporting future expansion, acquisitions, and funding requirements across the Group.

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