Notice: Function _load_textdomain_just_in_time was called incorrectly. Translation loading for the jetpack domain was triggered too early. This is usually an indicator for some code in the plugin or theme running too early. Translations should be loaded at the init action or later. Please see Debugging in WordPress for more information. (This message was added in version 6.7.0.) in /home/wathefty/public_html/jobs/wp-includes/functions.php on line 6114

Notice: Function _load_textdomain_just_in_time was called incorrectly. Translation loading for the rank-math domain was triggered too early. This is usually an indicator for some code in the plugin or theme running too early. Translations should be loaded at the init action or later. Please see Debugging in WordPress for more information. (This message was added in version 6.7.0.) in /home/wathefty/public_html/jobs/wp-includes/functions.php on line 6114

Notice: Function _load_textdomain_just_in_time was called incorrectly. Translation loading for the advanced-ads domain was triggered too early. This is usually an indicator for some code in the plugin or theme running too early. Translations should be loaded at the init action or later. Please see Debugging in WordPress for more information. (This message was added in version 6.7.0.) in /home/wathefty/public_html/jobs/wp-includes/functions.php on line 6114
Senior Treasury Manager - وظيفتي
وظائف في الاردنوظائف موقع كلمنينا

Senior Treasury Manager

Responsibilities

  • Oversee daily cash management activities, invest surplus cash, and meet funding requirements to drive cash flow forecasting.
  • Develop a payment strategy to achieve digitalization.
  • Achieve optimization and streamlining of processes through Internet banking and modules.
  • Develop and enhance relationships with the banks while ensuring timely management of forex, and interest costs.
  • Create and generate required treasury reports on a regular and ad-hoc basis; this will include analysis of the firm’s financial charges, debt, treasury risk exposure, and cash position.
  • Regular testing and ensuring compliance with KPIs.
  • Negotiate facilities and monitor compliance with all financial covenants.
  • Formulate and implement plans that are in line with business objectives.
  • Drive, manage, and improve cash flow forecasting.
  • Ability to develop a funding plan while meeting the requirements of the company’s growth.
  • Regularly review and enhance processes as needed to achieve optimization.
  • Monitor cash flow positions and related borrowing needs to ensure financial stability and maintain sufficient funds to meet ongoing operational and capital investment requirements.
  • Develop a risk management strategy in line with the approved policy to address the possible financial risk.

Qualifications

  • Minimum 10 to 12 years of experience within a treasury department of an international business.
  • Knowledge and experience in treasury management including managing complex loan portfolios, liquidity, and cash flow forecasting.
  • Experience in managing banking relationships.
  • Strong analytical and problem-solving skills.
  • Treasury management systems experience is essential.
  • Strong communication skills, including excellent written and verbal capabilities.
  • Ability to communicate professionally with directors, partners, and high-level executives.
  • Fluency in English (reading, speaking, and writing).
المهارات المطلوبة
  • مهارات تحليلية
  • تقرير مالى
  • Communication Skills
  • Finance & Accounting
  • Financial Models
  • Tax
تفاصيل الوظيفة
  • الموقع عمان – الأردن
  • القطاع
    المحاسبة والمالية
  • نوع الوظيفة دوام كامل
  • الدرجة العلمية بكالوريوس
  • الخبرات 10 – 15
  • الجنسية
    غير محدد

Apply For This Job

مقالات ذات صلة

اترك تعليقاً

لن يتم نشر عنوان بريدك الإلكتروني. الحقول الإلزامية مشار إليها بـ *

زر الذهاب إلى الأعلى