Treasury Manager – Cash Management & Operations

Trades App

Al-Daayen

On-site

QAR 360,000 - 600,000

Part time

12 days ago
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Job summary

Trades App in Qatar is seeking a Treasury Manager on a contractual basis to support the Treasurer Director with cash forecasting models, bank facility management, KYC/AML compliance, and SAP S4 Hana implementation.

You will oversee cash flow forecasting, manage the cash management strategy, and lead treasury reporting and dashboards using Power BI to optimize liquidity and financing costs. Strong leadership and GCC experience are valued.

Qualifications

  • 12+ years of experience in a tier 1 bank or corporation.
  • GCC experience advantageous.
  • Experience in managing banking relationships and optimizing bank account structures to minimize costs and maximize efficiency.
  • KYC and AML requirements for treasury operations.
  • SAP S4 hands on knowledge of system implementation, integration and reporting.
  • Power BI for automated cash flow reporting and dashboards.

Responsibilities

  • Assist the Treasury Director in cash flow preparation, management and reporting to senior leadership.
  • Manage cash flow forecasting to ensure liquidity and support budgeting/forecasting.
  • Develop cash management strategies to maximize returns and minimize borrowing costs.
  • Lead SAP S4 Hana module enhancement, implementation, and reporting.
  • Manage banking relationships and bank accounts for efficient operations.
  • Oversee trade finance book and collateral instruments.
  • Develop treasury policies and controls to meet regulatory standards.
  • Mentor and train junior treasury staff.

Skills

Leadership
KYC & AML
Treasury operations
Banking relationships
Trade finance
AI Fluency

Education

Bachelor's degree in business, accounting and finance, or economics
MBA
CFA
CMA
ACA or ACCA

Tools

SAP S4 Hana
Power BI

Job description

We are looking for a Treasury Manager - Cash Management & Operations on contractual basis for a client of ours based in Qatar. This role assists the Treasury Director in the management of cash forecasting modelling, facility agreement management, trade finance execution, banking facility management, KYC and AML management, and SAP S4 Hana implementation.

Job Responsibilities
  • Assist the Treasury Director in Group cash flow preparation, management and reporting to senior leadership.
  • Manage the cash flow forecasting, ensuring sufficient liquidity in the Group and analysis to support financial planning, budgeting, and decision-making processes.
  • Oversee the development and implementation of cash management strategies and policies to maximize returns on surplus funds and minimize borrowing costs.
  • Lead the enhancement, implementation and reporting of all treasury modules in SAP S4 Hana.
  • Manage relationships with banks and financial institutions, negotiating banking services, and maintaining bank accounts to ensure efficient cash management and banking operations.
  • Management of the Group's trade finance book, including advance payment, performance and retention bonds.
  • Management of security instruments such as corporate and personal guarantees, cheque issuance and other collateral against our loan facility book.
  • Develop and implement treasury policies, procedures, and controls to ensure compliance with regulatory requirements and internal governance standards.
  • Mentor, provide coaching, support and training to junior team members to ensure the effective operation of the treasury function.
Job Requirements
  • Minimum 12 years' experience in a tier 1 bank or corporation. GCC experiences an advantage
  • Bachelor's degree in business, accounting and finance, or economics
  • MBA, CFA, CMA, ACA or ACCA is required
  • Experience in managing banking relationships, negotiating banking services and optimizing bank account structures to minimize costs and maximize efficiency.
  • Excellent working knowledge of KYC and AML requirements for treasury operations.
  • Strong communication and interpersonal skills
  • Experience in developing and implementing treasury policies, procedures, and controls to ensure compliance with regulatory requirements and best practices.
  • SAP S4 hands on knowledge of system implementation, integration and reporting.
  • Power BI experience is a strong advantage, particularly in developing automated cash flow reporting, dashboards, and integrating/transforming Excel-based cash flow models.
Required Competencies
  • Resilience and agility
  • AI Fluency
  • SAP S4 implementation
  • System integration
  • Banking platforms
  • Leadership
  • Banking Relationships
  • Trade finance
  • KYC and AML
  • Treasury operations
  • Communication and influence
  • Provide Direction
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