This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Head of Regional Treasury Team - REMOTE. In this pivotal role, the incumbent will set the operational framework for treasury activities across Europe, ensuring compliance with corporate policies while promoting efficiency and excellence in financial processes. The position requires strong...
Director – Fund Accounting, Treasury & Compliance | Boutique Multi-Jurisdiction Investment Platform (UAE) A fast-growing, founder-led investment and advisory platform (current AUM ~USD 800M, with a clear roadmap toward USD 2B+) is looking to hire a Director – Fund Accounting, Treasury & Compliance to anchor its finance function across jurisdictions. The firm operates a sophisticated,...
Sr. IT Applications Functional Analyst, Finance Technology, FT-Treasury The Finance Technology team is looking for an IT Application Functional Analyst with extensive expertise in Treasury and related financial data to play a key role in designing and implementing new workflows and extending the functional capabilities of treasury applications used within Amazon. This role will recognize,...
Overview Audit & Assurance | Corporate Treasury Accounting - Manager When you work for us, you commit to a career at one of the largest and most prestigious professional services firms in the world. Deloitte & Touche ME is a Tier 1 Tax advisor in the GCC region since 2010 (according to the International Tax Review World Tax Rankings). It has received numerous awards in recent years, including...
Sr Cash Operations Specialist | Treasury Operations Specialist | Jobs in Dubai Job Openings Sr Cash Operations Specialist | Treasury Operations Specialist | Jobs in Dubai About the job Sr Cash Operations Specialist | Treasury Operations Specialist | Jobs in Dubai Senior Cash Operations Specialist | Treasury Operations Specialist | Jobs in Dubai Location: Dubai, United Arab Emirates Industry:...
Job Purpose The Treasury Manager is responsible for overseeing the organization’s treasury operations including cash management, liquidity planning, funding strategies and risk management. This role ensures financial stability, optimizes capital structures and supports business growth by implementing effective treasury policies and controls. The position requires close collaboration with senior...
Role Title Treasury ManagerBack Office & Operation Contract Duration 6 months; extendable subject to performance review and operational demand at that point of time Role Type Outsourced Full Time OnSite Work Location Dubai UAE Benefits Visa and Medical Insurance Role Summary Responsible for managing the day‑day operations of the Holding Treasury function including settlements, loan...
Salary: AED 30,000 - AED 35,000 per month Job Summary: We are seeking a highly experienced Treasury Manager to join our team. The ideal candidate will have 10-12 years of experience in treasury management, with a strong focus on working capital facilities, trade finance, cash management, and foreign exchange management. Proficiency with SAP and industry-related experience is preferred. The...
To assess, monitor, plan and manage the efficient utilization of cash and financial services in a manner consistent with the objectives of the Company. Responsibilities - Forecast daily cash requirements and execute daily financing decisions to ensure accuracy of forecasts Target forecast accuracy - Manage long-term and short-term financing strategies to ensure that the Group’s budgeted...
SAP | S4 HANA FICO Consultant Treasury | FSCM | SAC (Immediate Joiner) We are seeking an experienced SAP FICO Consultant with deep functional knowledge of Treasury & Risk Management, Financial Supply Chain Management (FSCM), and SAP Analytics Cloud (SAC). This role involves delivering end-to-end finance solutions in S/4HANA, supporting critical business processes, and driving financial...
4 weeks ago Be among the first 25 applicants Join Müller's Solutions as a Treasury Manager specializing in Core Finance. In this pivotal role, you will oversee and manage the treasury functions of our organization, ensuring effective liquidity management, cash flow forecasting, and risk assessment. Your expertise will be essential in guiding financial strategies that maximize our financial...
Overview Line of Service: Internal Firm Services Industry / Sector: Business Services Specialism: Business Operations Management Level: Senior Associate Job Description & Summary The treasury team is responsible for the day-to-day treasury operations managing debt intercompany funding and bank guarantees. They monitor and report on covenants ensure accuracy of treasury transactions and...
About the Company Gerald Group is one of the oldest and the world’s largest commodity trading companies focused purely on the merchanting of non-ferrous, ferrous, and precious metals, as well as related concentrates and raw materials. For six decades, we have distinguished ourselves as the leading market specialists in the trading of all forms of refined metals and raw materials around the...
The Role: · Coordinate day-to-day operations of the finance and economics department · Streamline business processes and strengthen collaboration with other departments · Develop policies and procedures for core financial functions · Maintain and improve internal control systems · Conduct financial analysis and monitor key performance indicators (KPIs) · Prepare cash flow forecast and...
Job Purpose Provides essential support by handling daily Treasury activities ensuring efficient cash management and maintaining accurate Financial records This role focuses on executing routine Treasury operations assisting in Financial analysis and supporting compliance efforts to enhance the overall effectiveness of the Treasury function Roles Responsibilities Duties Cash Flow Management...
APS Resources International is looking for Chinese Speaking Treasury Manager for UAE brunch of the mining company.The position is open in Dubai office.Job description:Payments- Daily payment instruction preparation, verification of execution and reconciliation to bank account movement;- Daily payment plan maintenance and its presentation for approval to Head of Treasury, managing database of...
Develop, document, and implement solutions relevant to the Quantum Treasury platform and its surrounding ecosystem including various interfaces with other systems.- Own, manage and resolve incidents related to the platform in cooperation with Technology teams, partners and business stakeholders.- Ensure incidents, problems and risks related to the system are properly documented including Root...
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Head of Regional Treasury Team - REMOTE. In this pivotal role, the incumbent will set the operational framework for treasury activities across Europe, ensuring compliance with corporate policies while promoting efficiency and excellence in financial processes. The position requires strong...
A leading HR consultancy in UAE is seeking a Treasury Manager to oversee the day-to-day operations of the Holding Treasury function. Responsibilities include settlements, loan administration, and cash management, requiring at least 5-7 years of treasury experience. The ideal candidate should possess strong analytical skills, efficiently manage complex transactions, and have proficiency in IT2...
Role Summary:As a Treasury Officer, you’ll report directly to the Finance Manager and be a key player in our Finance team. You will be responsible for monitoring cash flow, managing bank relationships, overseeing investment opportunities, and supporting treasury-related operations across the organization.Key Responsibilities:- Monitor daily cash flow to ensure the company has adequate liquidity.-...