Senior Treasury Accountant

Swan Global Holdings Group

Doha

On-site

QAR 180,000 - 300,000

Full time

14 days+
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Job summary

Swan Global Holdings Group seeks an experienced Senior Treasury Accountant – Liquidity & Analytics to manage daily liquidity positions, cash-flow forecasting, funding requirements, and Treasury reporting. You will analyze banking relationships across currencies and develop automated dashboards for senior management.

The role requires strong Excel and Power BI skills, CMA qualifications are preferred, and the candidate should excel under tight deadlines with clear written communication in English.

Qualifications

  • Bachelor’s degree in Finance, Accounting, or related field.
  • Minimum 5 years in Treasury or Banking.
  • Strong liquidity management and cash-flow forecasting experience.
  • Experience with multiple banks, accounts and currencies.
  • Preferred CMA qualification or CMA Part 1.

Responsibilities

  • Prepare and analyze daily consolidated Treasury and liquidity position.
  • Monitor balances across banks, accounts, and currencies.
  • Track available balances, facilities, limits, and utilization.
  • Prepare daily, weekly, and short-term cash-flow forecasts.
  • Analyze expected inflows, outflows, settlements, and funding needs.
  • Forecast currency demand based on historical trends and activity.
  • Identify liquidity shortages and surpluses.
  • Recommend fund transfers, funding allocations, and FX actions.
  • Analyze branch and operational funding requirements.
  • Monitor correspondent bank and settlement-bank positions.
  • Prepare daily Treasury report for CFO review.
  • Develop and maintain automated Treasury dashboards and reports.
  • Provide guidance to Treasury Operations Accountant.
  • Monitor compliance with Treasury limits and controls.
  • Analyze large volumes of data and provide management recommendations.

Skills

Liquidity management
Cash-flow forecasting
Excel advanced
Power BI
Financial modelling
Scenario analysis
Banking relationships
FX knowledge
Data analysis
Report writing

Education

Bachelor's degree in Finance/Accounting

Tools

Power Query
PivotTables
DAX
Data modelling

Job description

We are seeking an experienced Senior Treasury Accountant – Liquidity & Analytics to manage daily liquidity positions, cash-flow forecasting, funding requirements, Treasury reporting, and financial analysis.

Key Responsibilities
  • Prepare and analyze the daily consolidated Treasury and liquidity position.
  • Monitor balances across multiple banks, accounts, and currencies.
  • Track available balances, banking facilities, limits, and utilization.
  • Prepare daily, weekly, and short-term cash-flow and liquidity forecasts.
  • Analyze expected inflows, outflows, settlements, and operational funding requirements.
  • Forecast currency demand based on historical trends and expected business activity.
  • Identify anticipated liquidity shortages and surpluses.
  • Recommend appropriate fund transfers, funding allocations, and FX actions.
  • Analyze branch and operational funding requirements.
  • Monitor correspondent bank and settlement-bank positions.
  • Prepare the daily Treasury report for CFO review.
  • Develop and maintain automated Treasury dashboards and management reports.
  • Provide functional guidance to the Treasury Operations Accountant.
  • Monitor compliance with Treasury limits, controls, and procedures.
  • Analyze large volumes of banking and operational data and provide clear management recommendations within strict deadlines.
Requirements
  • Bachelor’s degree in Finance, Accounting, or a related field.
  • Minimum 5 years of relevant experience in Treasury or Banking.
  • Strong practical experience in liquidity management and cash-flow forecasting.
  • Experience handling multiple banks, accounts, and currencies.
  • Strong knowledge of FX positions, settlement cycles, value dates, and banking facilities.
  • Experience in an Exchange House, Remittance Company, Bank, or regulated financial institution is strongly preferred.
  • Qatar/GCC financial-services experience is an advantage.
  • CMA qualification or CMA Part 1 completed is preferred.
  • Advanced Excel skills, including:
  • Complex formulas
  • PivotTables
  • Power Query
  • Financial modelling
  • Scenario analysis
  • Automated reporting
  • Advanced Power BI skills, including:
  • Power Query
  • Data modelling
  • DAX
  • Dashboard development
  • Management reporting
  • Strong analytical and problem-solving skills.
  • Ability to work accurately with large volumes of financial data under tight deadlines.
  • Strong English communication and report-writing skills.
Preferred Experience

Candidates with experience in Exchange Houses, Remittance, Money Transfer, Banking, Treasury Operations, Settlements, or regulated financial services will be preferred.

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