By continuing to use and navigate this website, you are agreeing to the use of cookies.
1. JOB PURPOSE:
|
- Management of cash position reporting and activities to increase returns or decrease cost.
- Initiate strategy of cash management
- Regular review treasury policy and propose amendments in light of financial and economic outlook.
- Manage and review cash flow report to determine funding needs or investment opportunities.
- Enhance cash flow through communicating and solving aging collection problems with relevant stakeholders.
- Ensure business continuity through managing cash operations to ensure all company’s liabilities towards banks and suppliers are met.
- Lead relationship with dealing banks and facilitate the operational workflow for team members.
- Enrich the role of the team and support with knowledge transfer and training needs.
- Maintain control over finance department’s entry booking through bank reconciliation review and action enforcement.
- Automating Treasury operations in line with overall company’s digitalization goal.
- Handle all external audit requirements to support financial statements.
|
2. QUALIFICATIONS AND EXPERIENCE:
|
Qualifications & Experience:
- University Degree in Bachelor of Commerce– (Accounting / Finance Section)
- Area of experience: Treasury, Banking, Finance.
- Very Good Computer skills,
- Excellent in Advanced MS excel and Power point.
- Very Good in Arabic & English (Reading, Writing & Oral)
- Excellent Leadership, Communication and Negotiation skills
- 5 to 7 years of Experience in Corporate Treasury.
- Corporate banking experience
|