Analyst -Treasury
Indexed description
Responsibilities
Core Responsibilities:
- Analyze and monitor AD Ports Group day-to-day financial activities such as cash requirement, potential risks, liquidity and cash flow.
- Maintain a relationship with local and foreign financial Institutions to support company’s cash management operations.
- Document transactions, update ledgers and financials database and assist bank guarantees ensuring to adhere to Abu Dhabi Ports Group policies and guidelines.
- Support in bank arrangements, account opening and account structure changes such as opening/closing of accounts and addition/deletion of authorized signatories.
- Prepare AD Ports Group financial forecasts such as revenue, expenses, and loan estimations and identify potential risks along with the mitigation plans.
- Prepare management reports reflecting treasury operations, financial accounting records, credit agreements, risk strategies and cash flow analysis.
- Bachelor’s degree in Finance, Accounting, Business Administration, or any relevant. Master’s degree is a plus.
- Certified Public Accountant (CPA) or Certified Treasury Professional (CTP) is a plus
- Excellent English. Arabic is an added advantage
- A minimum of 1-4 years of experience in a similar role
- Knowledge of accounting and Treasury principles
- Sharp attention to detail
- Excellent communication and presentation skills
- Proficient in Microsoft Excel, PowerPoint, and other financial software
- Experience working with government agencies
- Detail-oriented and organized, with the ability to maintain accurate records and documentation
- Track record for solving complex problems, designing creative strategies, and delivering significant impact.
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