Treasury Specialist
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Job Purpose:
Responsible for executing and enhancing Group treasury operations including cash management, payments, trade finance, bank account management, Treasury Management System administration, preparing and analysing Treasury reporting, and maintaining comprehensive and compliant documentation of all treasury related activities. The role plays a key part in driving automation, digitization, and process optimization initiatives to improve efficiency, strengthen controls, enhance data visibility and support scalable treasury operations across the Group.
Reporting Structure:
Reporting to Senior Manager
Job Responsibilities:
• Cash Management: Monitor and manage daily cash positions across Group entities, ensuring optimal liquidity, efficient utilization of funds, and timely funding of operational requirements. Support automation of cash visibility and forecasting processes.
• Trade Finance: Manage end-to-end trade finance transactions (LCs, SBLCs, etc.), ensuring timely execution, policy compliance, and cost efficiency. Support digitization of trade finance documentation and tracking processes.
• Payments & Treasury Operations: Execute treasury payments and settlements in compliance with Delegation of Authority (DOA) and internal control frameworks. Identify opportunities to digitize workflows, reduce manual intervention, and improve straight-through processing (STP).
• Treasury Systems & Data Governance: Maintain and enhance data integrity within the Treasury Management System (TMS). Ensure accuracy, completeness, and reconciliation of treasury data. Actively contribute to system enhancements, and automation initiatives
• Bank Relationship & Account Management: Manage bank account lifecycle (opening, closing, KYC, signatories, online access). Coordinate implementation of digital banking solutions and support onboarding of new banking platforms or services.
• Treasury Controls & Governance: Ensure adherence to treasury policies, DOA, and internal controls. Maintain comprehensive documentation and support audit requirements. Strengthen process controls through automation and standardization.
Qualifications / Experience / Competencies:
• Bachelor’s degree in a Finance, Accounting, Economics, or related discipline
• Proficient in Excel
• Familiarity with Power BI or other data visualization tools preferred
• Team player
• Analytical and detail-oriented
• Proactive in identifying process improvement opportunities
• Comfortable working in a transformation-oriented environment
• Strong control and governance mindset
• General awareness and interest in financial markets and economics
Requirements
- •Bachelor’s degree in Finance, Accounting, Economics, or related discipline
- •Proficient in Excel
- •Strong control and governance mindset
- •Analytical and detail-oriented
Nice to Have
- •Familiarity with Power BI or other data visualization tools
- •Team player
- •Proactive in identifying process improvement opportunities
- •Comfortable working in a transformation-oriented environment
- •General awareness and interest in financial markets and economics
Responsibilities
- •Monitor and manage daily cash positions
- •Support automation of cash visibility and forecasting
- •Manage end-to-end trade finance transactions (LCs, SBLCs)
- •Execute treasury payments and settlements
- •Maintain and enhance data integrity within the Treasury Management System (TMS)
- •Manage bank account lifecycle
- •Ensure adherence to treasury policies and internal controls
- •Support audit requirements
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