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Treasury Back Office Manager

Al-Futtaim Technologies

Senior 🇬🇧 English
Forex and Derivatives Loan and Deposit Operations Liquidity Management SAP TRM ERP Accounting Audit Treasury Projects

Job description

About the role

The Treasury Back Office Manager supports Al Futtaim’s Global Treasury Centre by overseeing liquidity, loan and deposit activities, and forex/derivative transactions. The role ensures smooth financial operations, compliance, and provides strategic banking and accounting support to the Group’s businesses.

Key responsibilities

  • Prepare daily liquidity reports for all Group bank accounts and Treasury exposures.
  • Verify transfer letters manually or online and manage intra‑company fund transfers.
  • Ensure timely execution of Treasury payments and pool funds to cash‑management banks to earn interest.
  • Support the Global Treasury Centre with reporting on internal and external loan portfolios.
  • Prepare drawdown, settlement, rollover, and pre‑settlement request letters.
  • Submit deposit placement requests, match bank confirmations, and update loan schedules.
  • Prepare and submit loan requests to banks and contribute to treasury projects and initiatives.

Required profile

  • Minimum 60 months (5 years) of experience in treasury operations, liquidity management, or related finance functions.
  • Strong understanding of loan and deposit processes, forex and derivatives, and treasury accounting.
  • Ability to collaborate with global treasury teams, business finance, and external banks.

Required skills

  • Forex and Derivatives
  • Loan and Deposit Operations
  • Liquidity Management
  • SAP TRM ERP
  • Accounting Audit
  • Treasury Projects

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Published 1 month ago

Expires 1 week from now

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Al-Futtaim Technologies