Treasury and cash management are vital for businesses operating in dynamic markets like Dubai, Abu Dhabi, and the wider GCC. We recruit for treasury jobs including treasurers, cash managers, and risk managers who safeguard liquidity, manage funding strategies, and protect against financial risks such as currency and interest rate fluctuations. These roles are crucial for companies navigating the complexities of cross-border finance.
Senior Treasury Manager / Treasury Director.
A large or fast-growing organization with complex cash flows, multiple banking relationships, and advanced treasury and risk management requirements. The company places strong emphasis on liquidity optimization, governance, and financial resilience. The Senior Treasury Manager / Treasury Director will lead the organization's treasury strategy, overseeing liquidity, funding, and financial risk management. This role works closely with executive leadership and plays a key role in supporting growth, capital structure decisions, and financial stability.
Treasury Analyst
A structured organization with centralized treasury operations, focused on effective cash management, liquidity planning, and financial risk control to support business operations. The Treasury Analyst will support day-to-day treasury activities, including cash monitoring, forecasting, and banking operations. This role is ideal for a detail-oriented finance professional looking to build expertise in treasury and liquidity management.
Treasury & Cash Management Manager
A well-established organization with a strong focus on financial discipline, liquidity management, and risk control. The company operates in a structured environment with centralized treasury functions supporting business operations and growth. The Treasury & Cash Management Manager will be responsible for managing the organization's cash flow, liquidity, and banking relationships. This role ensures optimal use of funds, effective working capital management, and adherence to treasury policies while supporting overall financial stability and strategic initiatives.