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Treasury Manager

Levante HoldingDoha, QAT1 weeks agoExecutive
Executivefulltime

Skills

LeadershipStrategic PlanningBudgetingTeam ManagementPerformance ManagementProject Management
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About This Role

Job Title: Treasury Manager

Department: Finance

Location: Doha

Job Summary:

The Treasury Manager will be responsible for overseeing the organization’s cash flow, liquidity, banking relationships, and financial risk management. This role plays a critical part in ensuring optimal fund utilization, maintaining financial stability, and supporting strategic financing initiatives, including project funding and corporate growth activities.

Key Responsibilities: A. Cash Flow & Liquidity Management

  • Develop, implement, and continuously monitor cash flow forecasts (weekly, monthly, and quarterly).
  • Oversee daily cash positions across all entities and ensure efficient fund allocation.
  • Ensure sufficient liquidity to meet operational needs and ongoing project requirements.
  • Optimize working capital by effectively managing receivables, payables, and escrow accounts.
  • Design and present treasury dashboards and reports to senior management for decision-making.

B. Banking & Financing

  • Establish and maintain strong relationships with local and international banking partners.
  • Lead negotiations for credit facilities, overdrafts, project financing, and bank guarantees.
  • Manage loan lifecycle activities, including drawdowns, repayments, and covenant compliance.
  • Develop and maintain short-, medium-, and long-term cash flow forecasts, including project-specific cash flow planning.
  • Support structuring and execution of project financing arrangements (escrow accounts, milestone-based funding, etc.).

C. Investment & Fund Management

  • Oversee management of surplus funds and execute short-term investment strategies.
  • Recommend investment opportunities aligned with the organization’s risk appetite.
  • Monitor market trends, including interest rates, and propose appropriate hedging strategies.

D. Risk Management & Compliance

  • Identify, assess, and manage treasury-related risks, including liquidity, foreign exchange (FX), and interest rate risks.
  • Ensure compliance with regulatory requirements, banking agreements, and internal financial policies.
  • Implement and maintain strong treasury controls, ensuring proper segregation of duties.
  • Coordinate and support internal and external audits related to treasury operations.

E. Strategic & Corporate Finance Support

  • Support the development and execution of capital structure and funding strategies.
  • Assist in securing financing for new projects, expansions, and acquisitions.
  • Develop and review financial models to support investment and financing decisions.
  • Contribute to IPO readiness initiatives and support mergers and acquisitions (M&A) activities.

Requirements

Qualifications & Requirements:

  • Bachelor’s Degree in Finance, Accounting, Economics, or a related field.
  • Professional certifications such as CPA / ACCA / CA are required.
  • CTP (Certified Treasury Professional) certification is highly preferred.
  • 5–8 years of total professional experience in finance.
  • Minimum 3–5 years of hands-on experience in treasury-related roles.
  • Proven exposure to banking relationships, funding structures, and cash flow forecasting.
  • Experience in project finance, real estate, or multi-entity organizations is an advantage.

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