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Treasury Accountant

Antal International Network

Sharjah

On-site

Confidential

Full time

Yesterday
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Job summary

A rapidly growing organization in the GCC is seeking an experienced Treasury Accountant to manage treasury operations, including cash flow and banking relationships. The role requires a Bachelor's degree, 5-8 years of relevant experience, and strong analytical skills. Applicants should have hands-on experience with ERP systems and must demonstrate a strategic mindset for process improvement. This position offers professional growth opportunities while contributing to the organization's financial strategy.

Benefits

Professional growth opportunities
Exposure to strategic finance initiatives
Dynamic work environment

Qualifications

  • 5–8 years of experience in treasury, cash management, or finance operations.
  • Strong understanding of accounting principles and financial controls.
  • Experience coordinating with banks for treasury operations.

Responsibilities

  • Monitor daily cash positions and manage short-term investments.
  • Oversee compliance with internal controls and regulatory requirements.
  • Support month-end and year-end treasury closing processes.

Skills

Treasury operations management
Cash flow optimization
Analytical skills
Interpersonal skills

Education

Bachelor’s degree in accounting, Finance, or a related field
CPA, ACCA, or CMA

Tools

ERP systems (SAP, Oracle)
MS Excel
Job description

Our client is a rapidly growing organization in the GCC with a strong focus on financial excellence, governance, and strategic growth. As part of their continued expansion, they are seeking an experienced Treasury Accountant to manage cash flow, banking relationships, and treasury operations while contributing to strategic financial planning.

The Treasury Accountant will oversee day-to-day treasury operations, optimize cash management, and ensure compliance with internal controls and regulatory requirements. The role requires strong accounting and finance knowledge, attention to detail, and the ability to contribute to treasury strategy development.

Key Responsibilities
Cash Management & Treasury Operations
  • Monitor daily cash positions, ensure sufficient liquidity, and manage short-term investments.
  • Manage bank accounts, payments, and receipts with accuracy and timeliness.
  • Coordinate with banks for account management, reconciliations, and cash flow forecasting.
  • Optimize working capital and identify opportunities for cash efficiency.
  • Record and reconcile all treasury transactions in the accounting system.
  • Prepare cash-related reports and schedules accurately and on time.
  • Support month-end and year-end closing processes for treasury activities.
  • Assist in preparing financial statements in compliance with accounting standards.
Strategic Contribution & Process Improvement
  • Support treasury strategy development to improve cash management, funding, and liquidity planning.
  • Identify and implement process improvements, automation, and best practices in treasury operations.
  • Provide insights and recommendations to management on risk management, foreign exchange, and cash optimization.
  • Collaborate with finance, accounting, and business teams to align treasury operations with corporate financial strategy.
Compliance & Risk Management
  • Ensure compliance with internal controls, corporate policies, and statutory regulations.
  • Support internal and external audits related to treasury activities.
  • Monitor and manage financial risk, including liquidity, interest rate, and currency exposure.
Qualifications & Skills
  • Bachelor’s degree in accounting, Finance, or a related field; CPA, ACCA, or CMA is a plus.
  • 5–8 years of experience in treasury, cash management, or finance operations, preferably in large organizations or GCC-based companies.
  • Strong understanding of accounting principles, cash flow management, and financial controls.
  • Hands-on experience with ERP systems (SAP, Oracle, or similar) and MS Excel.
  • Excellent analytical, problem-solving, and organizational skills.
  • Strong communication and interpersonal skills to collaborate with banks, vendors, and internal stakeholders.
  • Strategic mindset with a focus on treasury planning, process improvement, and risk management.
Why Join Us
  • Play a key role in managing and shaping treasury operations in a leading GCC organization.
  • Exposure to strategic finance initiatives and cross-functional projects.
  • Professional growth in a dynamic, high-performance work environment.

Have you managed daily cash positions, liquidity, and short-term investments in a corporate treasury function? Yes No Have you contributed to or implemented treasury strategies to optimize cash flow, working capital, or funding operations? Yes No Have you coordinated with banks and internal stakeholders to manage treasury operations while ensuring compliance with financial controls? Yes No

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