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الوصف الوظيفي

About the job Banking And Treasury Manager

Job Objective
Skilled and experienced Banking & Treasury Manager to lead and oversee all aspects of our financial operations related to banking, treasury, and cash flow management. You will play a critical role in ensuring the company's financial stability and liquidity, while optimizing financial resources and mitigating risks. This is a challenging and rewarding opportunity for a financial professional with expertise in a dynamic and growing industry.
Key responsibility
Banking Management:
  • Establish and maintain strong relationships with key banking partners.
  • Negotiate favorable terms and fees for banking services.
  • Manage all company bank accounts, including cash flow analysis and forecasting.
  • Implement effective cash concentration and pooling strategies.
  • Oversee foreign exchange transactions and manage currency exposure.

Treasury Management:
  • Develop and implement a comprehensive treasury strategy aligned with the company's financial goals.
  • Manage short-term and long-term financing needs, including borrowing and debt structuring.
  • Analyze and mitigate financial risks, including interest rate, liquidity, and foreign exchange risks.
  • Implement investment strategies for surplus cash balances to maximize returns while maintaining liquidity.
  • Monitor compliance with banking regulations and internal financial controls.
  • Financial Reporting & Analysis:
  • Prepare and present accurate and timely financial reports to senior management.
  • Analyze financial data to identify trends and opportunities for improvement.
  • Participate in budgeting and forecasting processes.
  • Assist with financial audits and other external reporting requirements.

Team Leadership & Communication:
  • Lead and mentor a team of treasury professionals.
  • Provide clear and concise communication to stakeholders at all levels.
  • Build strong relationships with internal departments and external partners

Academic experience required
  • Bachelor's degree in Finance, Accounting, or related field (MBA preferred).

Professional Experience Required
  • Minimum 8 years of experience in a treasury or banking role in a corporate environment.
  • Proven ability to analyze financial data, develop strategies, and solve complex problems.
  • Strong understanding of financial markets, financial instruments, and risk management principles.
  • Experience in the plasma industry a plus.

Computing Skills
  • Proficiency in Microsoft Office Suite (Excel, Word, PowerPoint)
  • Proficient in financial modeling and analysis software.

Personal Skills
  • Strategic thinking: The ability to see the big picture and develop long-term financial plans.
  • Decision-making: The ability to make sound decisions under pressure, often with limited information.
  • Communication: The ability to communicate complex financial information clearly and concisely to both technical and non-technical audiences.
  • Negotiation: The ability to negotiate favorable terms for services with banks, investors, and other counterparties.
  • Teamwork: The ability to work effectively with team and other stakeholders.

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