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Head of Treasury (Construction / Infrastructure)

Black Pearl

Dubai

On-site

AED 280,000 - 350,000

Full time

30+ days ago

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Job summary

A leading operations firm in Dubai seeks an experienced Head of Treasury to lead financial operations, optimize cash flow, and manage financial risks. The ideal candidate will implement strategies for efficient cash management and collaborate with senior management for financial growth. Responsibilities include overseeing investments, financing activities, and ensuring regulatory compliance within a dynamic work environment.

Qualifications

  • Experience in managing treasury operations, preferably in an energy-focused organization.
  • Strong understanding of financial instruments and markets.
  • Proven ability to collaborate with senior management and optimize financial resources.

Responsibilities

  • Develop and implement efficient cash management strategies.
  • Oversee and manage the company's investment portfolio.
  • Identify and mitigate financial risks through hedging strategies.
  • Lead financing activities and negotiate with lenders and investors.
  • Ensure regulatory compliance and prepare detailed financial reports.
  • Manage and develop the treasury team.

Skills

Cash flow optimization
Financial risk management
Debt issuance
Equity financing
Team leadership
Job description

Our client, a prominent operations based in Dubai,focused on advancing sustainable and innovative energy solutions, is seeking an experienced and dynamic Head of Treasury to lead their treasury operations and manage financial role is pivotal in ensuring the company's financial stability and optimizing our capital structure to support business objectives.

In this role your key responsibilities will include :

Develop and implement strategies for efficient cash management, including optimizing cash flow, managing liquidity, and forecasting cash needs.

  • Oversee the company's investment portfolio, including assessing investment opportunities, managing relationships with financial institutions, and ensuring alignment with the company’s strategic goals.
  • Identify and manage financial risks related to interest rates, foreign exchange, and credit. Develop and execute hedging strategies to mitigate these risks.
  • Lead the company’s financing activities, including debt issuance, equity financing, and negotiations with lenders and investors. Evaluate and execute financing options to support strategic initiatives.
  • Collaborate with senior management to develop and implement financial strategies that align with the company’s growth objectives and overall business plan.
  • Ensure compliance with regulatory requirements and internal policies. Prepare and present regular reports on treasury activities, financial performance, and risk management to the executive team and board of directors.
  • Manage and develop the treasury team, fostering a collaborative and high-performance work environment. Provide guidance and support in day-to-day operations and strategic projects.
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