Senior Treasury Accountant
Tri Star Group · Dubai
وصف الوظيفة
About the role
Tri Star Group is seeking a qualified Chartered Accountant to join its corporate office in Dubai as a Senior Treasury Accountant. You will be responsible for managing the company’s banking relationships, cash flow forecasting and treasury operations.
Key responsibilities
- Maintain a comprehensive list of all banking relationships and related documentation.
- Prepare short‑term and long‑term cash‑flow forecasts.
- Issue cheques and online bank transfer advice.
- Account for bank and treasury transactions and perform regular bank reconciliations.
- Execute trade finance transactions, including letters of credit, bank guarantees and import finance.
- Manage liquidity by balancing cash positions across all accounts and executing cash‑pooling across geographies.
- Mitigate foreign‑exchange exposure and circulate bank confirmation letters.
- Liaise with external auditors and banks, and develop treasury policies and procedures as needed.
Required profile
- Professional qualification such as CPA, ACA or equivalent.
- Bachelor’s degree in Finance or Accounting.
- Strong understanding of treasury operations and banking processes.
Required skills
- Bank Reconciliations
- Cash pooling
- Trade finance transactions
What we offer
- Opportunity to work in a dynamic, multinational environment.
- Competitive compensation package.
- Professional development and career growth.
Questions fréquentes
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الراتب: Senior Accountant استنادًا إلى 86 عرض عمل في الإمارات العربية المتحدةالرواتب حسب المهنة
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Tri Star Group
Dubai
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