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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


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