Job title: Manager Cash Management
Company: IFFCO
Job description: Job SummaryThe Treasury Manager will manage treasury operations including cash flow management, liquidity planning, and risk management.
The role involves minimizing financial risk, overseeing hedging, and funding activities, ensuring compliance with financial regulations, leading treasury-related projects, and maintaining banking relationships.Roles & Responsibilities– Risk Management: Collaborate with business units to identify and mitigate financial risks related to liquidity, forex, and interest rates, service delivery and transactions
– Treasury Reporting: Prepare and present weekly, monthly and Ad Hoc reports to senior management and stakeholders.
– Hedging & Funding Activities: Execute hedging strategies as guided by the treasury team(forex swaps, loans, deposits).
– Cash & Liquidity Management: Prepare cash flow forecasting, and liquidity management reports and highlight major discrepancies
– Treasury Operations & Controls: Manage cash management processes and controls over cash and forex activities. Collaborate with service delivery teams across multiple locations to ensure seamless service delivery and compliance of IFFCO policies
– Banking Relationships: Maintain strong banking relationships and negotiate favourable terms
– Project Management: Lead treasury-related projects and initiatives as directed by the group.
Identify potential areas of improvements and implement ideas to standardize and streamline the process.
– Compliance Monitoring: Ensure adherence to financial regulations and internal policies and govern the SLA’s and KPI’s
– Financial Reporting: Ensure accurate financial reporting of treasury activitiesWork experience requirement
QualificationBachelor’s degree in finance, Accounting, Economics, or a related field (CFA, CA, CMA preferred)
– 8+ years of experience in treasury, cash management, or corporate finance
– Strong understanding of financial instruments, hedging, and cash flow forecasting
– Proficiency in treasury management and ERP systems
– Excellent analytical and decision-making skills
– Strong communication and presentation skills with senior management and external stakeholders
– Proven experience in managing banking relationshipsCompetenciesFinancial Transaction ProcessingFinancial OperationsOracle/SAP ERPFinancial ComplianceFinancial Risk ManagementCommunicating effectivelySelf and Team ManagementPlanning & Decision MakingCustomer CentricityOwnership & Result OrientationBusiness Unit: Corporate-Finance (4198)Business Group: Finance (234)
Expected salary:
Location: United Arab Emirates
Job date: Sun, 05 Jan 2025 07:54:36 GMT
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