Treasury Operations Executive

Sphere IT Consultants DWC LLC

Ras Al Khaimah

On-site

AED 180,000 - 250,000

Full time

14 days+

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Job summary

Sphere IT Consultants DWC LLC in Ras al-Khaimah is seeking a Treasury Executive to manage daily treasury operations, cash management, and compliance activities. The role involves maintaining banking relationships, cash flow forecasting, and supporting Investor Relations.

The ideal candidate should have a Bachelor's degree in Finance and 7-9 years of experience in Treasury Operations, including expertise in ERP systems like SAP or Oracle. This position is essential for efficient cash management and financial reporting compliance.

Qualifications

  • 7-9 years of experience in Treasury Operations, Cash Management, Corporate Finance, or Banking.
  • Experience in managing cash flow forecasting and bank reconciliations.
  • Exposure to Investor Relations and Trade Finance activities preferred.

Responsibilities

  • Monitor and analyze daily cash positions to ensure sufficient liquidity.
  • Maintain relationships with banks and financial institutions.
  • Assist in issuance and management of Letters of Credit and Bank Guarantees.
  • Perform monthly bank reconciliations and support journal entries preparation.
  • Assist in preparing quarterly investor presentations.

Skills

Cash Management
Banking Relationships
Financial Reporting
Liquidity Planning
Investor Relations Support
Compliance & Governance

Education

Bachelor's Degree in Finance, Accounting, Commerce, Economics

Tools

ERP Systems (SAP, Oracle)

Job description

Treasury Executive / Treasury Analyst

Job Purpose

The Treasury Executive is responsible for supporting daily treasury operations, cash management, banking relationships, liquidity planning and financial reporting activities. The role ensures efficient management of cash flows, banking facilities, investments and treasury-related compliance while supporting Investor Relations (IR) and financial reporting requirements.

Key Responsibilities
  • Cash Management
    • Monitor and analyze daily cash positions to ensure sufficient liquidity for operational and financial commitments.
    • Manage daily cash forecasting and assist in short-term borrowing and investment activities.
    • Prepare rolling cash flow forecasts and cash position reports.
    • Support execution of daily cash management activities and treasury transactions.
    • Analyze and reconcile bank charges, interest income and interest expenses with bank statements.
    • Prepare and maintain loan schedules, interest calculations and borrowing records.
    • Monitor fixed deposits, renewals and investment schedules.
  • Banking / Relationship Management
    • Maintain relationships with banks and financial institutions.
    • Open and manage bank accounts including KYC documentation updates.
    • Administer online banking platforms and corporate credit card programs.
    • Prepare bank correspondence, account documentation and banking reports.
    • Coordinate with banks regarding transactions, facilities and operational requirements.
  • Trade Finance / Financial Instruments
    • Assist in issuance and management of Letters of Credit (LCs), Bank Guarantees (BGs) and other trade finance instruments.
    • Coordinate with internal stakeholders and banks to facilitate treasury transactions.
  • Reconciliations / Reporting
    • Perform monthly bank reconciliations and treasury-related month-end closing activities.
    • Support preparation and posting of treasury-related journal entries.
    • Ensure accuracy and timeliness of treasury reports submitted to management and financial institutions.
    • Prepare treasury reports for lenders, banks and other stakeholders.
  • Investor Relations Support/Assist
    • Assist in preparing quarterly investor presentations and investor communication materials.
    • Support analyst coverage activities and investor reporting requirements.
    • Assist in maintaining relationships with rating agencies and provide required financial information.
    • Support Investor Relations reporting and presentation updates.
  • Stakeholder Coordination
    • Liaise with Accounts Receivable (AR) and Accounts Payable (AP) teams regarding treasury transactions.
    • Collaborate with Finance and other departments to support business requirements.
    • Maintain confidentiality of financial and treasury-related information.
  • Compliance & Governance
    • Ensure compliance with treasury policies, banking regulations, and company procedures.
    • Adhere to month-end and year-end reporting deadlines.
    • Support internal and external audits related to treasury activities.
    • Ensure compliance with Health, Safety, Environment (HSE) and company governance requirements.
Qualifications & Experience
  • Bachelor's Degree in Finance, Accounting, Commerce, Economics, or related discipline.
  • 7-9 years of experience in Treasury Operations, Cash Management, Corporate Finance, or Banking.
  • Experience in managing cash flow forecasting, bank reconciliations, and banking relationships.
  • Exposure to Investor Relations and Trade Finance activities is preferred.
  • Experience in ERP systems such as SAP, Oracle, or similar finance systems.
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