Team Leader, Treasury Operations

Commercial Bank of Dubai

Dubai

On-site

AED 380,000 - 520,000

Full time

14 days+
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Job summary

Commercial Bank of Dubai invites applications for an experienced lead role to supervise end-to-end Treasury and Investment Operations in Dubai. You will manage FX, money markets, fixed income, Islamic treasury products, and syndications, ensuring accurate settlement, accounting, and controls within SLA/TAT.

You will drive automation, strengthen governance, and coordinate with Front Office, Risk, Compliance and IT for seamless execution.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Banking, Economics, Business Administration or a related discipline.
  • Professional certification or progress towards ACI, CFA, FRM, ACT, CPA, ACCA, CMA or equivalent qualification is preferred.
  • Strong working knowledge of treasury products, Islamic treasury structures, syndications, SWIFT messaging, settlement practices, reconciliations and financial markets operations.
  • Proficiency in Treasury Management Systems, core banking/loan systems, SWIFT Alliance, MS Excel and reporting tools; exposure to automation, workflow or data analytics tools is an advantage.
  • 8-10 years of relevant experience in Treasury, Investment, Capital Markets, Middle Office or Banking Operations, including at least 2–3 years in a supervisory or team lead capacity.
  • Experience in UAE/GCC banking operations, regulatory compliance, audit management, system change delivery and stakeholder coordination is preferred.

Responsibilities

  • Validate, authorize, settle, account and reconcile transactions within SLA/TAT and market deadlines.
  • Maintain robust maker-checker controls, segregation of duties, dual authorization, exception tracking and escalation protocols.
  • Review transaction documentation, confirmations, settlement instructions, loan notices and supporting approvals for completeness and compliance.
  • Oversee SWIFT message authorization, nostro funding, cash and securities settlement, GL reconciliation and break resolution.
  • Coordinate with Treasury Front Office, Syndications, Islamic Banking, Risk, Finance, Compliance, Financial Institutions, Relationship Managers, IT and external counterparties for seamless execution and issue resolution.
  • Support new product implementation, BRD preparation, UAT execution and post-implementation reviews.
  • Identify opportunities to automate manual processes, improve straight-through processing, dashboards/MIS, data quality and exception reporting.
  • Remediate audit observations, risk events and control gaps with root-cause analysis and preventive actions.
  • Lead, coach and cross-train team members; maintain backups and support workload planning.
  • Update SOPs, process maps, KPIs, KRIs and job descriptions in coordination with Head of Treasury & Investment Operations.
  • Ensure timely confirmation, settlement, payment processing, and reconciliation of treasury deals across local and international markets.
  • Oversee account reconciliations and ensure breaks are resolved within agreed timelines.

Skills

Treasury operations
Syndications
SWIFT messaging
Settlement practices
Reconciliations
Financial markets operations
MS Excel
Reporting tools

Education

Bachelor’s degree in Finance, Accounting, Banking, Economics, Business Administration or related discipline
Professional certifications (ACI, CFA, FRM, CPA, ACCA, CMA)

Tools

Treasury Management Systems
Core banking/loan systems
SWIFT Alliance
Reporting tools

Job description

Job Purpose
  • Describing the overall objective of the job and, essentially, why the job exists. What needs to be done to achieve results.
  • Lead and oversee end-to-end Treasury and Investment Operations covering FX, money market, fixed income, derivatives, Islamic treasury products, syndications and related settlement activities, ensuring timely, accurate and controlled execution in line with agreed SLA/TAT.
  • Strengthen operational resilience, maker-checker controls, reconciliations, accounting accuracy, exception management and regulatory compliance while maintaining clear ownership across the transaction lifecycle.
  • Drive process digitization, control automation, system enhancements, audit readiness, AML/sanctions adherence, business continuity, data quality and continuous improvement across Treasury and Investment Operations.
KEY ACCOUNTABILITIES:
  • Ensure all treasury, investment, Islamic and syndication transactions are validated, authorized, settled, accounted and reconciled accurately within approved cut-off times, SLA/TAT and market deadlines.
  • Maintain robust maker-checker controls, segregation of duties, dual authorization, exception tracking and escalation protocols to minimize operational, settlement, market conduct and reputational risks.
  • Review transaction documentation, confirmations, settlement instructions, loan notices and supporting approvals to ensure completeness, accuracy, enforceability and compliance with internal policies and regulatory requirements.
  • Oversee SWIFT message authorization, nostro funding, cash and securities settlement, GL reconciliation, break resolution and timely escalation of ageing or high-risk exceptions.
  • Coordinate with Treasury Front Office, Syndications, Islamic Banking, Risk, Finance, Compliance, Financial Institutions, Relationship Managers, IT and external counterparties to ensure seamless execution and issue resolution.
  • Support new product implementation, process design, system change requests, BRD preparation, UAT execution, post-implementation reviews and operational readiness assessments.
  • Identify opportunities to automate manual processes, improve straight-through processing, enhance dashboards/MIS and strengthen data quality, reconciliation controls and exception reporting.
  • Ensure audit observations, risk events, compliance findings and control gaps are remediated within agreed timelines with root-cause analysis and sustainable preventive actions.
  • Lead, coach and cross-train team members, maintain role backups for critical activities, support workload planning and embed a culture of accountability, service excellence and continuous improvement.
  • Maintain and periodically update SOPs, process maps, control checklists, KPIs, KRIs and job descriptions in coordination with the Head of Treasury & Investment Operations.
  • Ensure timely confirmation, settlement, payment processing, and reconciliation of treasury deals across local and international markets.
  • Oversee nostro, suspense, and treasury-related account reconciliations and ensure breaks are investigated and resolved within agreed timelines.
  • Monitor daily cash flows, funding movements, value dates, maturities, and settlement obligations to support efficient liquidity management.
  • Review and strengthen operational controls to reduce settlement risk, confirmation risk, reconciliation risk, and processing errors.
  • Prepare and review treasury operations MIS, exception reports, aging reports, KPI dashboards, and management updates.
Requirements:
EXPERIENCE & ACADEMIC QUALIFICATIONS:
  • Bachelor’s degree in Finance, Accounting, Banking, Economics, Business Administration or a related discipline.
  • Professional certification or progress towards ACI, CFA, FRM, ACT, CPA, ACCA, CMA or equivalent qualification is preferred.
  • Strong working knowledge of treasury products, Islamic treasury structures, syndications, SWIFT messaging, settlement practices, reconciliations and financial markets operations.
  • Proficiency in Treasury Management Systems, core banking/loan systems, SWIFT Alliance, MS Excel and reporting tools; exposure to automation, workflow or data analytics tools is an advantage.
  • 8-10 years of relevant experience in Treasury, Investment, Capital Markets, Middle Office or Banking Operations, including at least 2–3 years in a supervisory or team lead capacity.
  • Experience in UAE/GCC banking operations, regulatory compliance, audit management, system change delivery and stakeholder coordination is preferred.
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