Specialist - Cash

Edge Group

United Arab Emirates

On-site

AED 240,000 - 420,000

Full time

14 days+
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Job summary

Edge Group seeks a Specialist Cash to support the Project Finance Office with cash visibility, liquidity forecasting, and working capital insights across EDGE Commercial, EDGE Global, and affiliated entities.

The role develops system-driven cash reporting and forecasting processes to improve visibility, forecast accuracy, and working capital performance across the portfolio, collaborating with finance teams to align cash forecasts with project milestones and execution plans.

Qualifications

  • Bachelor's degree in Finance, Accounting, Treasury, or related field.
  • 3+ years of experience in Treasury, Cash Management, FP&A, or Project Finance environments.
  • Strong understanding of cash forecasting and working capital concepts.
  • Knowledge of trade finance instruments is preferred.

Responsibilities

  • Prepare and maintain short and medium-term project cash flow forecasts.
  • Support monthly and quarterly cash planning activities.
  • Monitor forecast versus actual cash collections and identify variances.
  • Maintain cash visibility dashboards and working capital reporting.
  • Support liquidity planning and cash performance reviews.
  • Monitor trade finance facilities including LC, SCF, factoring arrangements, and related costs.
  • Support management of APG, Performance Bonds, and other banking instruments.
  • Monitor guarantee utilization, expiry dates, and release opportunities.
  • Support Treasury in evaluating financing and working capital optimization opportunities.
  • Collaborate with Project Finance and project teams to align cash forecasts with project milestones.
  • Support automation and standardization of cash forecasting and reporting processes.
  • Assist in the preparation of management reporting and cash performance analysis.

Skills

Cash forecasting
Working capital
Financial analysis

Education

Bachelor's degree in Finance, Accounting, Treasury, or related field

Tools

SAP
Power BI

Job description

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Department: Project Finance – Collections, Treasury & Working Capital

Reports to: Cash Leader

Job Summary

The Specialist Cash supports the Project Finance Office by providing cash visibility, liquidity forecasting, and working capital insights across EDGE Commercial, EDGE Global, and affiliated entities. The position also supports the development of system-driven cash reporting and forecasting processes, contributing to improved visibility, forecast accuracy, and working capital performance across the portfolio.

Key Responsibilities
  • Prepare and maintain short and medium-term project cash flow forecasts
  • Support monthly and quarterly cash planning activities
  • Monitor forecast versus actual cash collections and identify variances
  • Maintain cash visibility dashboards and working capital reporting
  • Support liquidity planning and cash performance reviews
  • Monitor trade finance facilities including Letters of Credit (LC), Supply Chain Finance (SCF), factoring arrangements, and related costs
  • Support management of Advance Payment Guarantees (APG), Performance Bonds, and other banking instruments
  • Monitor guarantee utilization, expiry dates, and release opportunities
  • Support Treasury in evaluating financing and working capital optimization opportunities
  • Collaborate with Project Finance and project teams to align cash forecasts with project milestones and execution plans
  • Support automation and standardization of cash forecasting and reporting processes
  • Assist in the preparation of management reporting and cash performance analysis
Qualifications and Skills
  • Bachelor's degree in Finance, Accounting, Treasury, or related field
  • 3+ years of experience in Treasury, Cash Management, FP&A, or Project Finance environments
  • Strong understanding of cash forecasting and working capital concepts
  • Knowledge of trade finance instruments is preferred
  • Experience with SAP, Power BI, or reporting tools is an advantage
  • Strong analytical and stakeholder management skills
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