Treasury Senior Expert

Qatar Electricity and Water Company

Posted 30+ days ago

Experience

10 - 12 Years

Job Location

Qatar - Qatar

Education

Bachelor of Business Administration(Management)

Nationality

Any Nationality

Gender

Not Mentioned

Vacancy

1 Vacancy

Job Description

Roles & Responsibilities

Treasury Senior Expert
Organization Finance & Planning
Preferred Age Between 30 and 50
Preferred Gender Either
Minimum Experience 10 years
Qualifications Bachelor In Economics / Accounts

Responsibilities Develop and implement financial models to optimize cash flow and liquidity, including managing cash balances, automating collections, and strategic banking coordination. Establish and regularly update risk management policies to mitigate financial risks like currency, interest rate and credit, ensuring regulatory compliance and maintaining solid banking relationships for effective treasury operations. Treasury Management: Develop and implement financial models and forecasts to support strategic decisions, focusing on short-term and long-term cash flow planning. Design risk management policies and procedures to mitigate financial risks including currency, interest rate and credit risks, planning for regular assessment and strategy adaptation. Execute daily and monthly cash forecasts, preparing them for review and approval to ensure adequate liquidity for operational and strategic needs. Implement automation of collection channels to improve efficiency and accuracy in financial transactions. Manage cash balances and fund utilization to minimize external borrowing and optimize liquidity, ensuring funds are available to meet day-to-day and strategic financial obligations. Verify transaction documents such as invoices to ensure compliance with financial regulations before issuing payment orders. Monitor bank account balances and cash positions to confirm adequate funding is available for all financial commitments. Regularly assess risk exposures by reviewing financial strategies and adapting as necessary to protect against market changes. Ensure compliance with all banking and financial agreements, including loan covenants, and prepare necessary documentation for monthly reviews. Develop and maintain strong relationships with financial institutions to support effective treasury management. Manage interest rate and exchange risks to protect the company's financial position from market volatility. Optimize investment strategies to maximize returns on deposits and safeguard company assets.

Company Industry

Department / Functional Area

Keywords

  • Treasury Senior Expert

Disclaimer: Naukrigulf.com is only a platform to bring jobseekers & employers together. Applicants are advised to research the bonafides of the prospective employer independently. We do NOT endorse any requests for money payments and strictly advice against sharing personal or bank related information. We also recommend you visit Security Advice for more information. If you suspect any fraud or malpractice, email us at abuse@naukrigulf.com

Similar Jobs

Accountant

Confidential Company

  • 6 - 12 Years
  • Dubai - United Arab Emirates (UAE)
View All