Location: Abu Dhabi, UAE
Industry: Hard Commodities/ Industrial Project Management
Employment Type: Contract (12+ months)
Position Overview
On behalf of our client, a leading company in the hard commodity sector/Industrial Project Management Company, headquartered in Abu Dhabi, we are seeking a motivated Treasury Specialist. This role does not require prior industry experience, but demands a proactive and detail-oriented professional with strong financial acumen, excellent organizational skills, and fluency in English.
Key Responsibilities
· Support daily treasury operations including monitoring of bank accounts, liquidity, and cash positions.
· Assist in cash flow forecasting, short-term and long-term funding requirements.
· Prepare treasury reports and maintain accurate records of financial transactions.
· Support payment processing and bank reconciliations.
· Liaise with banks on operational matters and ensure compliance with UAE financial regulations.
· Contribute to the improvement of treasury procedures, controls, and reporting practices.
· Provide support to finance team on ad hoc treasury-related tasks.
Skills
Requirements
· Bachelor’s Degree in Finance, Accounting, Economics, or related field.
· No prior experience in the hard commodity industry required.
· Strong understanding of financial principles and treasury concepts.
· Fluency in English (spoken and written) is essential.
· Proficiency in Microsoft Excel and other MS Office applications.
· Strong analytical, organizational, and problem-solving skills.
· Proactive, detail-oriented, and eager to learn.
Application: Kidly apply with your CV in English