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Matar Holding Company seeks a Senior Treasury Specialist to manage cash flow, liquidity, and investment activities, ensuring compliance with financial regulations. You will forecast cash needs, maintain banking relationships, and lead treasury operations to optimize returns on surplus funds.
The role requires strong analytical skills, 5+ years in treasury, and a Bachelor’s in Finance/Accounting/Banking with certifications such as ACCA/CFA as a plus.
The Senior Treasury Specialist, is responsible for managing the company's cash flow, ensuring liquidity, optimizing investments, and mitigating financial risks. This role involves daily cash management, forecasting, banking relations, and compliance with financial regulations.