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Senior Analyst, Fund Management

Discovered MENA · Abu Dhabi

Senior 🇬🇧 English
Financial reporting standards Investment policies Investment execution Cash Flow Forecasting Liquidity planning Portfolio performance monitoring ERP treasury or investment management systems Regulatory Requirements

Job description

About the role

We are partnering with a leading financial organisation in Abu Dhabi to strengthen its fund management and treasury capabilities. As a Senior Analyst you will play a hands‑on front‑office role, overseeing liquidity, cash flow planning and investment execution to ensure funds are deployed in line with strategic objectives.

Key responsibilities

  • Manage day‑to‑day treasury and fund activities, including liquidity planning, cash positioning, forecasting and investment execution.
  • Build and maintain relationships with banks, investment managers, custodians and other external financial institutions.
  • Execute and monitor investment transactions within approved strategies, governance frameworks and risk limits.
  • Monitor portfolio performance, yield, maturity profiles, concentration, liquidity and overall fund allocation.
  • Prepare treasury and liquidity reports, delivering clear insights on cash positions, investment performance and financial risks.
  • Support funding and distribution activities to ensure sufficient liquidity for planned obligations.
  • Maintain strong governance, documentation, controls and audit trails across treasury and investment processes.
  • Collaborate with internal and external stakeholders to resolve operational issues and improve fund management processes.

Required profile

  • Minimum 6 years of experience in treasury, fund management, investment operations or a closely related financial discipline.
  • Proven expertise in cash flow forecasting, liquidity planning, investment execution and portfolio performance monitoring.
  • Solid understanding of investment instruments, banking operations, counter‑party exposure, financial controls and treasury governance.
  • Experience working with banks, investment managers, custodians and other financial institutions.
  • Strong knowledge of regulatory requirements and investment policies.

Required skills

  • Financial reporting standards
  • Investment policies
  • Investment execution
  • Cash Flow Forecasting
  • Liquidity planning
  • Portfolio performance monitoring
  • ERP treasury or investment management systems
  • Regulatory Requirements

Questions fréquentes

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Published 4 weeks ago

Expires 1 month from now

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Discovered MENA

Abu Dhabi