Assistant Treasury Manager
Confidential CompanyDubai, UAE2 days agoMid-Senior
Mid-Senior
Skills
Financial AnalysisFinancial ReportingFinance ManagerForeign ExchangeCash Management OfficerInvestment Strategies
Via NaukriGulf·
About This Role
- Assist in managing the daily cash position to ensure optimal liquidity levels across all accounts, facilitating smooth operational flow.
- Support the development and execution of cash management strategies, optimizing the company’s working capital and funding strategies.
- Monitor and analyze cash flow forecasts, identifying trends and discrepancies to provide actionable insights to senior management.
- Aid in the preparation of financial reports and models that assess the company's liquidity and capital structure.
AI Job PlatformStop applying blindly.
Stop applying blindly.
Start getting hired.
Base Career automates the hardest parts of job searching — apply smarter, not harder.
AI Resume in 60s
Your resume rewritten for this exact role using the job description as the brief.
ATS-Optimized
Get past automated screening filters with the right keywords matched to each job.
Application Tracker
Track every job, follow-up, and interview in one visual kanban board.
Start Today for Free
Free plan · No credit card required