Treasury Manager

؜ - ؜الجيزة ؜ -

تفاصيل الوظيفة

Lead cash flow preparation/review and implement cash flow improvement
initiatives to meet corporate objectives. Improve accuracy of financial
forecasts and propose countermeasures if needed, roll-out effective cash
forecasting process, both short and longer term rolling forecasts.


Contribute in other areas of treasury work, including bank relationship
management, financing arrangement and risk controls.


Main responsibilities


Monitor and manage cash projections and daily cash activity.


Maintain a wide network of relationships in the financial services sector.


On-time preparation and delivery to HQ of accurate cash flow reports including
actual, budget and forecast.


Hedging to mitigate financial risks related to the interest rates on
borrowings and foreign exchange positions.


Preparation of Treasury policies.


Plan, oversee and implement practical improvements and efficiencies over the
treasury process.


Enforce proper financial control in place over treasury (cash flow activity)
and proper housekeeping of financial policies.


Ensure on-time preparation and delivery to management of accurate cash flow
reports including actual, budget and forecast.


Qualifications / Requirements:
Bachelor degree in Finance/Accounting or equivalent


CTP or relevant certification is a plus


Written and oral fluency in English


Relevant Experience:
‎10 years progressive experience in finance/accounting; preference for direct
treasury experience (minimum ‎5 years)


Experience working within a multi-cultural international organization


Ability to contribute and thrive in a team-oriented environment as well as
operate independently to identify treasury issues and needs, research,
recommend and implement the details of various financial solutions.


Competencies:
Self-motivated Individual with professional demeanor who operates under
highest standards of ethical conduct.


Strong ability to network, manage and build relationships.


Sound judgement in applying financial management principles.


Analysis, understanding and interpretation of data/information.


Ability to secure quality delivery from the team in pressure situations &
maintain required standards.


Giza Egypt

ملخص الوظيفة

  • المُعلن : NISSAN
  • تاريخ الإعلان : 25/01/2023
  • نوع العمل : -
  • مستوى الخبرة : -
  • المستوى التعليمي : -
  • مكان العمل : الجيزة
  • الراتب : -
  • الهاتف : -

وظائف أخرى مثل هذه الوظيفة

دبي
14/06/2022

Job Purpose: To deliver efficient Banking operations as appropriate for Emirates Group's volume, complexity, and geographic spread, with a focus on the following areas: - Mobilise and invest funds at HO & Outstations profitably and on prudential norms - Exchange Group's substantial foreign Currency…

الرياض
19/04/2023

Company Description Zid is an e-commerce in a box - solution that any retailer can use to start their eRetail. Zid helps them to build their own E-Stores (with their own name and identity) and integrates them with the supply chain players to enable them to manage and with ease. All of that with …

القاهرة
17/05/2023

#### **Job Description** * Manage the Company's financial risks, liquidity, and funding requirements to constantly meet business needs. * Monitor /Manage bank agreements and relationship with banks. * Act as the primary liaison ( with Group Treasury Director co-operation ) with banks to comm…

القاهرة
19/04/2023

### **Job Information** Number of Positions **1** **** Business Line **AGM Holding** **** Required Skills Treasury treasury management +1 City **Cairo** **** State/Province **Cairo** **** Country **Egypt** **** Zip/Postal Code **11311** **** ### **Job Description** * Monitoring the cash position …

دبي
02/02/2023

Job Purpose: Analyse financing proposals and provide support in the negotiation process of the financing contracts. Manage the financing negotiation / documentation process and ensure funds are available at aircraft delivery/redelivery date or execution date for non-aircraft financings. Job Outline…

القاهرة
06/12/2022

* Construction player with an international presence in Africa & Europe * Managing an overall equipment funding of $500M+ ### **About Our Client** Our client, a Construction player is seeking a Treasury Manager to handle their affiliated funding operations in Cairo, Egypt. This role will require …

القاهرة
26/09/2022

#### **Aufgaben** Objective of Position The Treasury Senior Manager is responsible for providing support in the various treasury functions and products, which include cash-flow forecasts, manage day-to-day transactions, currency exposure and flow of funds, foreign currency deals, various bankin…

مصر
25/12/2022

A French multinational company located in Sheikh Zayed is hiring a _" Treasury and Credit Manager"_ Main Responsibilities: * Prepare the annual cash flow budget. * Prepare the monthly rolling cash flow by different currencies. * Ensure that cash management, bank operations, credit facilities …

الكويت
05/05/2022

## **Treasury Manager (E &P)** **Location: Kuwait** **Summary of Role:** The client is particularly interested in a candidate who has worked as a Senior Finance Manager, including Treasury Function within Upstream Oil and Gas sector and has negotiated with Financial Institutions / Loan Syndicates t…

الكويت
06/10/2022

Job Summary The Assistant Manager – Treasury Operations will support all aspects of Alghanim´s Corporate Treasury Operations across the Group, respective Business Units (BUs) and geographies. This role requires a deep understanding of the banking landscape, banking products, services and pro…

Language: English