Job Description
Roles & Responsibilities
Develop and implement strategies for cash management, forecasting, and budgeting to ensure optimal liquidity for the company's operations and investments.
Manage and negotiate banking relationships, as well as other financial partner relationships.
Oversee the company’s investment strategy and manage excess cash balances to ensure the best return on investments while minimizing risks.
Monitor financial markets and global economic conditions to identify risks and opportunities related to foreign exchange, interest rates, and commodity prices.
Implement risk management strategies and hedging techniques to protect the company from financial risks.
Ensure compliance with financial regulations and standards, including managing external audits and reporting requirements.
Collaborate with senior management to support strategic planning and decision-making processes.
Lead, mentor, and develop the treasury team, promoting a culture of high performance and continuous improvement.
Desired Candidate Profile
Bachelor’s degree in Finance, Accounting, Economics, or a related field; MBA or professional certification (e.g., CFA, CPA) is a plus.
Minimum of 7 years of experience in treasury, finance, or a similar role, with a preference for experience in the commodity trading or financial services industry.
Strong understanding of financial markets, instruments, and strategies, with expertise in risk management practices.
Excellent negotiation, communication, and presentation skills.
Demonstrated ability to lead and manage teams.
Proficiency in financial modeling and analysis.
Strong ethical judgment and the ability to handle confidential information with discretion.
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