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الوصف الوظيفي

About the job Treasury Consultant

Treasury Consultant will be responsible to assist in carrying out the Treasury and cash management of the bank. He/she should be familiar with payments, audits, invoices, managing accounting activities, including bank reconciliations, accounts payable and accounts receivable, FX Dealing, MM Dealing, cash flow management skills.


Job Description:


  • Treasury Strategy Development: Analyse Banks' financial structures and develop comprehensive treasury strategies to optimize cash flow, manage financial risks, and enhance liquidity.
  • Cash Management: Assist in developing effective cash management techniques, including forecasting, liquidity planning, and optimizing working capital.
  • Risk Management: Identify financial risks and develop hedging strategies to mitigate exposure to currency, interest rate, Equities, and commodity price fluctuations.
  • US Equities Management: Provide expertise in managing portfolios with significant exposure to US equities, advising on investment strategies, market trends, and risk mitigation.
  • FX Management: Develop and implement foreign exchange risk management strategies, including hedging and currency risk mitigation.
  • Money Market Management: Assist on money market investments, liquidity management, and short-term funding strategies.
  • Financial Analysis: Conduct in-depth financial analysis to support decision-making processes, including scenario planning, sensitivity analysis, and stress testing.
  • Technology Implementation: Assist in the implementation of treasury management systems (TMS) and other financial technology solutions to streamline operations and improve efficiency.
  • Regulatory Compliance: Ensure adherence to relevant regulatory requirements and industry best practices, providing guidance on compliance and governance issues.
  • Client Relationship Management: Build and maintain strong relationships with clients and counterparties, understanding their needs and providing tailored treasury solutions.
  • Reporting: Prepare detailed reports and presentations for Board of Management and Supervisors of the Bank, summarizing findings, recommendations, and implementation plans.
  • Ad-hoc Projects: Take on additional projects and responsibilities as required and advised by the CEO of the Bank.

Qualifications:


  • Shall have at least a Bachelor's degree in Economic, Finance, Accounting and commerce, Masters degree will be preferred.
  • Professional Certifications of ACCA/CTP/ CIMA/ CMA or other professional qualification would be a great asset.
  • Shall have at least 3 or 5 years of professional experience in Treasury or Finance.

Skills:


  • Fluency in English language in written and verbal communication skills
  • Financial instruments trading.
  • Cash flow management skills.
  • Strong Communication and Interpersonal Skills and ability to build and maintain relationships
  • Negotiation Skills
  • Money Market Dealing Skills
  • Bank relationship management.
  • Cash Management, Financial Accounting, and Corporate Finance.
  • Cash and deal accounting
  • Forex risk management
  • Entrepreneurial Skills
  • Decision-making Skills


تفاصيل الوظيفة

منطقة الوظيفة
دبي الإمارات العربية المتحدة
قطاع الشركة
خدمات الدعم التجاري الأخرى
طبيعة عمل الشركة
غير محدد
نوع التوظيف
غير محدد
الراتب الشهري
غير محدد
عدد الوظائف الشاغرة
غير محدد

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