Job Description
<ul><li>Opportunity to work within a top tier semi-government entity|Opportunities for continued professional and personal development<br><br><br></li></ul><strong>About Our Client<br><br></strong>Semi-government entity based in Dubai.<br><br><strong>Job Description<br><br></strong><ul><li>Monitor daily cash positions and manage bank accounts.</li><li>Prepare cash forecasts and assist in the development of cash management strategies.</li><li>Assist in the preparation of cash reports and variance analysis.</li><li>Conduct research and analysis of financial data to support decision-making.</li><li>Maintain and update treasury systems and processes.</li><li>Assist with the management of the organization’s investment portfolio.</li><li>Liaise with internal and external stakeholders, including banks and investment managers.<br></li></ul><strong>The Successful Applicant<br><br></strong><ul><li>Bachelor’s degree in finance, accounting, economics, or a related field.</li><li>UAE National with Family Book.</li><li>CFA Level I certification or equivalent.</li><li>0-3 years of experience in treasury or related field.</li><li>Excellent analytical and problem-solving skills.</li><li>Strong communication skills.</li></ul><strong>What’s on Offer<br></strong><ul><li>Opportunity to work within a top tier semi-government entity.</li><li>Opportunities for continued professional and personal development.<br></li></ul><strong>Contact: Riddhi Wanchoo<br><br></strong><strong>Quote job ref: JN-052023-6041425</strong>