
Executive - Treasury
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The Executive – Treasury will be responsible for assisting the Treasury Manager in managing daily treasury operations, cash flow monitoring, banking transactions, and financial reporting. The role requires strong analytical skills, attention to detail, and the ability to coordinate with internal and external stakeholders to ensure smooth treasury operations.
Responsibility:
Cash Flow & Liquidity Management:
• Assist in cash flow forecasting to optimize working capital.
• Coordinate with internal teams to manage fund transfers and intercompany settlements.Banking & Payments Operations:
• Process vendor payments, employee reimbursements, and other financial transactions.
• Assist in managing bank accounts, ensuring proper documentation and compliance with banking policies.
• Processing Credit Card Refund
• Daily Cash Reconciliation with Store
• Daily Sales Report
• Completing Account Opening Form and KYC updating
• Applying Credit Card Machines & SCDM for New OutletsTreasury & Financial Reporting:
• Prepare and maintain treasury reports, including cash flow statements, bank reconciliations, and funding reports.
• Assist in compiling data for regulatory and management reporting requirements.
• Support month-end and year-end treasury-related accounting processes.
• Maintain day-to-day payment report by bank wiseSystems & Process Optimization:
• Assist in the automation and improvement of treasury processes.
• Support the implementation of treasury management systems (TMS) and ERP integrations.
• Maintain accurate records of banking transactions and treasury activities.Qualification:
• The ideal Executive – Treasury should have 2-4 years of experience in treasury, finance, or accounting, preferably in a retail or corporate environment.
• Bachelor’s degree in finance, Accounting, Economics, or a related field.
• Proficiency in MS Excel, financial modeling, and ERP systems (SAP, Oracle, etc.).
Requirements
- •2-4 years of experience in treasury, finance, or accounting
- •Bachelor’s degree in finance, Accounting, Economics, or related field
- •Proficiency in MS Excel
- •Proficiency in financial modeling
- •Proficiency in ERP systems (SAP, Oracle, etc.)
- •Assist in cash flow forecasting
- •Coordinate fund transfers and intercompany settlements
- •Process vendor payments and employee reimbursements
Nice to Have
- •Experience in a retail or corporate environment
- •Maintain day-to-day payment report by bank wise
- •Support the implementation of treasury management systems (TMS)
- •Support month-end and year-end treasury-related accounting processes
- •Maintain accurate records of banking transactions
- •Assist in compiling data for regulatory and management reporting requirements
- •Coordinate with internal teams for fund transfers
- •Assist in managing bank accounts
Responsibilities
- •Managing daily treasury operations
- •Cash flow monitoring
- •Banking transactions
- •Financial reporting
- •Cash Flow Liquidity Management
- •Banking Payments Operations
- •Treasury Financial Reporting
- •Systems Process Optimization
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