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الوصف الوظيفي

Who We Are: At Huda Beauty, our Vision is to lead in creating a democratized beauty industry where power is given back to people to define, create, and enjoy beauty for themselves! Launched by award-winning beauty powerhouse Huda Kattan in 2013, Huda Beauty is one of the world’s fastest growing beauty brands. As a company, we are fueled by purpose and not profit, this allows us to approach things differently so that we can create products, content, and a community like no other. A lot has changed since our launch in 2013, but something that will forever remain at the core of Huda Beauty is our focus on business excellence and our unwavering passion for kindness!


Summary: Huda Beauty is looking for a Group Treasurer to join our Finance team in Dubai. They will be responsible for managing the Huda Beauty’s treasury operations, including cash management, funding, financial risk management, and investment strategies. This role involves collaborating with senior management to support the financial objectives of the organization and ensuring the effective management of the company's liquidity and financial resources. A natural cross-functional collaborator who will work in close alignment with various other departments. This role reports to the Senior Director of Finance.


Essential Duties and Responsibilities:


Cash Management:


  • Oversee daily cash management activities, including cash flow forecasting and liquidity management.
  • Optimize the organization’s cash positioning and manage banking relationships.

Financial Risk Management:


  • Identify, monitor, and mitigate financial risks, including currency, interest rate, and credit risks.
  • Develop and execute risk management strategies, including the use of hedging instruments.

Investment Strategy:


  • Manage the organization’s investment portfolio, ensuring alignment with strategic objectives and risk tolerance.
  • Evaluate investment opportunities and make recommendations to senior management.

Compliance and Reporting:


  • Ensure compliance with applicable regulations, financial policies, and internal controls.
  • Prepare and present treasury reports to the Senior Finance Director and the COO.
  • File and document controls.
  • Maintain organized filing systems.
  • Update and maintain weekly schedules for payments and fixed assets.
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