Treasury Senior Manager

؜ - ؜القاهرة ؜ -

تفاصيل الوظيفة

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 banking
contracts, impartation related topics and services.
Main
Treasury Operations and Responsibilities



  • Manage all aspects of the Front Office treasury serv i ces for funding in accordance with local law and company's rules and regulations

  • Ensure the implementation of processes and standards is valid for Treasury functions

  • Manage all aspects of the Front Offfce treasury services for investments

  • Manage foreign exchange exposure (currency exposure) and ensure compliance
    Planning and Management of Budget

  • Prepare and manage accurate cash forecasting, by providing monthly cash positions with a clear cash estimation and a clear overall debt exposure towards HO to give a direction for a proper sales planning of parts and vehicles within the agreed upon credit export limits
    Coordination with Audits
    Address any corrective action determined by internal or external audits


Strategic Direction and Management of Own Area of Responsibility
* Be involved with regard to the direction of the superordinate organizational unit as well as develop and coordinate implementation strategies
* Manage own function on the basis of targets and performance indicators, as well as ensure own ability to report
lmportation
* Create and adhere to a compatible process of endorsing importation documents based on the available banking deals and the banks potential of foreign currency supply
* Ensure a proper lead time to finalize the importation transactions


Others
* Plan and coordinate projects at a local and international level, steer projects and work on project teams and committee
* Provide a high level of treasury expertise to support ideas and solutions to overcome current foreign currency crisis
* Meet up with different business partners whenever needed to discuss solut i ons and ideas to solve companies challenges
* Approve supplier payments and follow up on Dealers receivables


Qualifikationen


Training and qualification
* Bachelor's degree,n Accounting, Finance or an equivalent field, from a reputable univefSlty
Technical knowledge
* Strong analytical, financial and systems skills are required
* Microsoft Office applications proficiency(Word-Excel-PowerPoint)
Soft skills/individual competence
* Strong analytical skills
* Strong communication and interpersonal skills
* Ability to work under pressure
* Problem solving skills
* Ability to collaborate and work in a team
Experience
* ‎7-‎10 years of experience in related fields is required


Language
* Fluency of spoken and written English language

ملخص الوظيفة

  • المُعلن : Mercedes-Benz Group AG
  • تاريخ الإعلان : 26/09/2022
  • نوع العمل : -
  • مستوى الخبرة : -
  • المستوى التعليمي : -
  • مكان العمل : القاهرة
  • الراتب : -
  • الهاتف : -
  • البريد الإلكتروني :

    إظهار البريد الإلكتروني

وظائف أخرى مثل هذه الوظيفة

القاهرة
21/06/2022

## **Main Duties & Responsibilities** * **Cash & Liquidity Management** * Ensure that the cash needs of the company are met in the most cost-effective manner. * Manage daily cash balances and trading in the relevant investment instruments to ensure maximized returns on excess cash. * Pro…

القاهرة
10/10/2022

Cairo, Egypt Posted 17 days ago Expires in a month Ref:JB4604329 #### **Job Details** Job Location Cairo, Egypt Job Role Accounting/Banking/Finance Employment Status Full time Employment Type Employee Number of Vacancies 1 #### **Preferred Candidate** Career Level Mid Career Years of Experience …

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 …

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 …

6th of october city
23/05/2023

**About the company:** Shift EV is a fast-growing electric vehicle technology company, based in Cairo, Egypt. Our vision is to accelerate the adoption of electric vehicles in Egypt and the region by developing state-of-the-art electric drivetrain solutions. You will work with world-class tech…

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 …

الجيزة
25/01/2023

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 i…

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…

Language: English