Manager - Treasury - Finance - Dubai Holding Group Service
Job description
Manager - Treasury - Finance - Dubai Holding Group Service
The successful candidate will be responsible for handling various Treasury Reports and submission of same on time with accuracy.
Treasury Manager - Reporting will be responsible for review of various reports to be prepared for each business and corporate as below:
- Standard Weekly Cash Report for Corporate.
- Quarterly Treasury pack
- Direct Cash Flow and Restricted Balance Report
- Half Yearly Government Reporting
- Monthly AML Reporting
- Monthly Treasury Reporting
- Bank exposure
- Free cash analysis
- 13 weekly forecast and monthly actualisation
- Covenant Testing
- Derivative schedules
- Monthly Debt reporting and interest working
Qualifications:
- Qualified Accountant with Treasury related background is preferred.
Experience: Minimum 5 years hands-on experience of working with Treasury Reports.
Technical Skills/Competencies:
- Strong analytical skills
- Proficient in Excel and PowerPoint
- Prior experience of using Treasury / portfolio management systems (Preferable)