Treasury Strategist
Description
Assistant Manager - Treasury & Working Capital This pivotal role supports in leading treasury strategies, optimizing cash management, maintaining global banking relationships, and driving working capital improvements. The ideal candidate will have proven experience in Treasury, providing strategic financial insights while ensuring regulatory compliance.The successful candidate will be responsible for: Designing and implementing forex hedging policies and procedures to optimize cash flows;Maintaining an efficient system of policies and procedures that impose an adequate level of control over treasury activities and provide support for regulatory reporting;Collaborating with internal stakeholders to maintain adequate capital structure consistent with business, tax, and regulatory requirements;Key qualifications include a Bachelor's degree in finance, accounting, or a related field; 4+ years of experience in treasury, finance, forecasting, or a related field; understanding of financial markets, instruments, and risk management; proficiency in financial analysis and forecasting modeling; knowledge of treasury management systems and banking platforms; attention to detail and high degree of accuracy; ability to work effectively in a team and independently; and knowledge of relevant regulations and compliance requirements.The company offers a dynamic finance environment where you can grow and contribute meaningfully to the transformation of real estate in MENA. Our Guiding Principles include Think Future First, Data Beats Opinions, Speed Beats Perfection, Optimise for Impact, No Ostriches Allowed, Our People, Our Power, and The Biggest Risk is Taking no Risk at All. We are a community-driven organization unlocking knowledge in new ways, with experts adding insights directly into articles started with AI.
Posted: 7th July 2025 10.51 am
Application Deadline: N/A
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