Treasury Manager
myself.ae · Dubai
Job description
About the role
The Treasury Manager will lead the development and execution of treasury strategies for a leading UAE real‑estate and property development group. Reporting to senior leadership, you will ensure optimal cash management, liquidity planning and risk mitigation across the organization.
Key responsibilities
- Design and implement treasury policies covering cash management, funding, and financial risk mitigation.
- Oversee daily treasury operations, including cash balances, payments, collections, bank transfers and funding movements.
- Lead short‑term and long‑term cash‑flow forecasting to maintain adequate liquidity.
- Manage banking relationships, negotiate loans, credit lines, guarantees and other facilities.
- Monitor loan covenants, treasury controls, bank reconciliations and the accuracy of treasury records.
- Prepare treasury reports, financial analyses, identify risks and support audit processes.
- Develop and mentor treasury staff to enhance team capabilities.
Required profile
- 8–12 years of experience in treasury, cash management or corporate finance.
- At least 3–5 years in a managerial or leadership role.
- Proven ability to work under pressure, make decisions and communicate effectively with senior stakeholders.
Required skills
- Treasury Operations
- Cash Management
- Liquidity Planning
- Cash Flow Forecasting
- Banking Facilities
- Financial Risk Management
- Bank Reconciliation
- Treasury Accounting
- Funding Structures
- ERP Systems
- Treasury Management Systems
- Advanced Microsoft Excel
What we offer
- Opportunity to shape treasury strategy for a high‑growth real‑estate organization.
- Direct involvement in major projects and funding decisions.
- Collaboration with senior leadership and exposure to complex financial structures.
- Competitive compensation and professional development support.
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Published 1 month ago
Expires 1 week from now
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myself.ae
Dubai
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