Treasury Manager

myZoi

Posted 30+ days ago

Experience

10 - 12 Years

Education

Bachelor of Commerce(Commerce)

Nationality

Any Nationality

Gender

Not Mentioned

Vacancy

1 Vacancy

Job Description

Roles & Responsibilities

The Role

The Treasury Manager will be responsible for ensuring optimal liquidity across multiple entities and banking partners, forecasting cash and capital needs, managing FX exposures, and ensuring compliance with regulatory capital requirements. The candidate will be expected to drive the management of Cash, Liquidity, FX, and Debt raising/Financing across the Group along with overseeing working capital management solutions. The candidate will be expected to be an expert generalist in all matters related to the treasury.

Key Responsibilities

Liquidity & Cash Management

Monitor daily cash positions across all operating accounts (domestic and international)
Manage liquidity with the UAE Central Bank for Domestic Settlements (UAEFTS, ICCS, DDS, etc.)
Ensure sufficient funding levels across nostro/vostro accounts for instant remittance and payout channels
Forecast short-term and medium-term liquidity requirements across all bank accounts, incorporating inflows/outflows, settlement cycles, and seasonal trends
Optimize cash deployment and minimize idle balances while ensuring operational readiness
Capital Planning & Regulatory Requirements

Monitor and maintain compliance with Central Bank capital adequacy and liquidity requirements
Forecast capital requirements to support business growth, new products, and regulatory changes
Plan and coordinate capital injections from shareholders as needed to meet regulatory thresholds
Prepare capital adequacy reports for internal management and regulatory submission
FX and Risk Management

Monitor FX positions and exposures across currencies
Liaise with banks and FX counterparties for pricing and execution of FX conversion. Also help setting up FX hedging strategies, if required
Maintain up-to-date knowledge of market trends and regulatory changes affecting treasury and FX markets
Banking Relationships

Act as the primary point of contact for treasury-related matters with banking partners and the Central Bank
Support opening, maintaining, and optimizing banking infrastructure for operational efficiency
Treasury Operations

Own and operate the treasury management process, ensuring strong controls and reporting
Reconcile treasury transactions and coordinate with the finance team for accounting and audit purposes
Support automation and system improvements related to treasury processes
Reporting & Compliance

Prepare daily, weekly, and monthly liquidity, capital, and treasury dashboards for internal management
Ensure compliance with internal treasury policies and Central Bank reporting requirements
Support internal and external audits related to treasury activities
Key Stakeholders

Finance team
Management team
CBUAE
External stakeholders
Standard Chartered Ventures and Group

Who you are

10–12 years of treasury experience in a bank, fintech, or financial institution
Strong understanding of liquidity management, capital adequacy, FX exposure, and settlement processes
Proven ability to forecast liquidity and capital requirements across multiple bank accounts
Prior experience dealing with Central Bank accounts, domestic settlement systems, and Nostro accounts
Experience working with multi-currency environments and instant/remittance products
Proficiency in treasury systems and Microsoft Excel; experience with TMS is a plus
Excellent stakeholder management and communication skills
Excellent analytical and problem-solving skills with attention to detail
Ability to manage competing priorities in a cross functional environment
Ability to work independently in a fast-paced, regulated fintech environment
Preferred

Experience with cross-border remittance operations
Familiarity with regulatory reporting in the UAE
Professional certifications such as ACT, CFA, or CTP are advantageous

Department / Functional Area

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