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Job summary
LVMH Group is seeking a Cash & Risk Manager in Dubai to oversee treasury operations, insurance, and internal controls for the GCC region. This role is vital for managing banking relations and ensuring effective liquidity management. Candidates should have a Bachelor's degree in a relevant field and 6-10 years of experience in corporate treasury or financial controls, ideally in a retail or multinational environment. Strong analytical and communication skills are required for success in this fast-paced role.
Qualifications
6-10 years of relevant experience in corporate treasury, financial control, or risk management.
Experience in retail, luxury retail, or multinational environments.
Ability to manage multiple priorities in a fast-paced environment.
Responsibilities
Manage bank relationships and act as the primary contact for treasury-related matters.
Monitor liquidity and optimize cash, including pooling activities.
Oversee regional insurance: coordinate renewals and claims.
Skills
Treasury operations
Financial controls
Analytical skills
Communication skills
Organizational skills
Financial modeling
Education
Bachelor's degree in Finance, Accounting, Business Administration, or related field
Tools
SAP
Job description
LVMH Group is seeking a Cash & Risk Manager in Dubai to oversee treasury operations, insurance, and internal controls for the GCC region. This role is vital for managing banking relations and ensuring effective liquidity management. Candidates should have a Bachelor's degree in a relevant field and 6-10 years of experience in corporate treasury or financial controls, ideally in a retail or multinational environment. Strong analytical and communication skills are required for success in this fast-paced role.