وظائف الأماراتوظائف بيت الامارات
Treasury Operations Executive
Treasury Operations Executive
الوصف الوظيفي
Treasury Operations Executive | Corporate Services | Dubai
About the role
As a member of Treasury Back office team, you will be supporting the Al Futtaim Global Treasury Centre (GTC) and the Business Units on the following:
- Liquidity Management through reporting and payment operations
- Forex and derivative back office operations including confirmation processing, settlements etc.
- Settlements and Accounting journals for all treasury related transactions through SAP TRM/ERP
Month end closing activities and audit
About the responsibilities
Daily Liquidity management:
- Preparation of daily liquidity report for all the Group’s bank accounts and Treasury exposures
- Preparation of all transfer letters manually / online in a timely manner to manage the funds appropriately.
Loan and deposit operations:
- Supporting GTC by the provision of necessary reporting in relation to the Group’s loan portfolio of both internal and external loans.
- Preparation and submission of deposit placement requests to banks and ensuring the receipt and matching of bank confirmations
Forex and derivatives:
- Ensuring that Forex, options and derivative transactions are confirmed and settled after reviewing bank confirmations
Accounting & Audit:
- Ensuring that all treasury related transactions (Loans, liquidity, Forex, charges & Interests) are accounted in a timely manner through processes in SAP TRM or ERP
- Ensuring all month end treasury activities of reconciliations, treasury schedules, audit schedules are prepared in a timely manner.
The position provides Banking, Forex and Accounting support to the Global Treasury Centre and all the Group’s businesses. The jobholder constantly co-ordinates with Global Treasury Centre, business finance & banks to provide this support.
المهارات
About the Requirements
Minimum Qualifications and Knowledge:
- Professional accounting qualification
- A bachelor’s/master’s degree in commerce/financial management/ accountancy with about three to five years of experience within the Treasury function of a medium to large organization or banks.
- Analytical, process oriented, good communication skills, exposure to ERP
- Should be able to plan and prioritize tasks, persuasive skills, Kaizen attitude, Self-motivated; and a strong team player.
تفاصيل الوظيفة
- منطقة الوظيفة
- دبي, الإمارات العربية المتحدة
- قطاع الشركة
- المحاسبة
- طبيعة عمل الشركة
- صاحب عمل (القطاع الخاص)
- الدور الوظيفي
- الإدارة
- نوع التوظيف
- دوام كامل
- الراتب الشهري
- غير محدد
- عدد الوظائف الشاغرة
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