Treasury Accountant
About This Role
Key Performance Areas:
- Prepare and analyse monthly liquidity forecasts, FX forecasts, and cash flow statements.
- Ensure and manage liquidity to meet operational and strategic funding needs.
- Ensure timely and accurate payment runs.
- Set up, manage, and maintain cash pools to optimize cash usage across entities.
- Ensure monthly cash account reconciliations are completed accurately and on time
FX Management:
- Monitor foreign exchange (FX) rates and execute FX exchanges.
- Manage FX rates in SAP and maintain accurate FX-related interfaces.
- Report FX reasonability, cash holding levels, and other treasury metrics.
Bank & Financial Institution Management:
- Act as the primary point of contact for banks, credit card providers, and FX trading service providers.
- Manage bank mandates and oversee bank account openings/closings.
- Handle bank guarantees, loans, and oversee credit cards, cheques, and petty cash.
- Maintain authorizations, online banking access, and treasury user rights.
- Negotiate contracts with banks and credit card providers, aiming for cost efficiency.
Compliance, Controls & Governance:
- Ensure segregation of duties, adherence to internal controls, and regulatory compliance.
- Maintain and regularly update treasury guidelines, manuals, and regulations.
- Ensure that treasury processes and systems comply with group policies and external requirements.
Systems, Processes & Reporting :
- Manage and maintain interfaces (e.g., payment runs, FX rates, FX exchanges).
- Ensure accurate and timely reporting to Group, covering financial data, FX exposures, thresholds, and liquidity metrics.
- Implement and improve processes, drive automation, and create operational efficiency.
Leadership, Projects & Team Development:
- Manage treasury-related projects from initiation to successful implementation.
- Lead or support cross-functional initiatives and process improvement projects.
- Guide and mentor Treasury Junior Accountant, ensuring development and knowledge transfer.
Similar Jobs
Treasury Accountant (Dubai)
Aspen Holdings Β· Dubai
Responsible for managing treasury processes, ensuring liquidity, executing payment runs, and maintaining compliance, requiring finance management knowledge and advanced cash too...
Yesterday
Generate Resume βTreasury Accountant (Arabic Speaker)
Farzana Trading Β· Dubai
**Key Responsibilities** * Monitor daily cash balances and forecast short\- and long\-term cash needs * Manage bank accounts, including reconciliations and transaction processing * Execute and record treasury transaction
Yesterday
Generate Resume βTreasury Accountant
Aspen Holdings Β· Dubai
Manage treasury processes, ensure liquidity, execute payment runs, and maintain compliance while leading projects and mentoring junior accountants.
2 days ago
Generate Resume βTreasury Accountant (Dubai)
Aspen Holdings Β· Dubai
Manage liquidity forecasts, execute foreign exchange transactions, ensure compliance, and lead treasury projects while mentoring junior accountants.
3 days ago
Generate Resume βTreasury Accountant
Aspen Holdings Β· Dubai
Responsible for managing treasury processes, ensuring liquidity, executing payment runs, and maintaining compliance with financial regulations.
4 days ago
Generate Resume βTreasury Accountant
Aspen Holdings Β· Dubai
The Treasury Accountant manages treasury processes, ensures liquidity, executes payment runs, and requires finance management qualifications and advanced cash tools knowledge.
1 weeks ago
Generate Resume βTreasury Accountant (Dubai)
Aspen Holdings Β· Dubai
Manage liquidity, execute payment runs, and oversee foreign exchange while ensuring compliance and optimizing treasury processes for operational efficiency.
1 weeks ago
Generate Resume βTreasury Accountant
Aspen Holdings Β· Dubai
The Treasury Accountant manages treasury processes, ensures liquidity, oversees FX management, and maintains compliance while leading projects and mentoring junior staff.
1 weeks ago
Generate Resume βTreasury Accountant
Aspen Holdings Β· Dubai
Key Performance Areas: Cash Flow & Liquidity: Prepare and analyse monthly liquidity forecasts, FX forecasts, and cash flow statements. Ensure and manage liquidity to meet operat...
1 weeks ago
Generate Resume βStop applying blindly.
Start getting hired.
Base Career automates the hardest parts of job searching β 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.
Free plan Β· No credit card required