Treasury Manager

Client of Mindfree Consulting

Posted on 23 Feb

Experience

5 - 7 Years

Job Location

Lebanon - Lebanon

Education

Bachelor of Arts(Economics)

Nationality

Any Nationality

Gender

Not Mentioned

Vacancy

1 Vacancy

Job Description

Roles & Responsibilities

Duties & Responsibilities

Cash Flow Management

  • Monitor, forecast, and analyze daily cash positions in multiple currencies.
  • Ensure adequate funds are available to meet operational and capital investment requirements.
  • Reconcile bank accounts and track cash transactions for accuracy and compliance.

Hedging & Foreign Exchange (FX) Activities

  • Execute FX transactions and hedging strategies to minimize currency risk.
  • Monitor currency markets and advise on potential exposures and mitigation strategies.
  • Maintain and update hedging documentation, ensuring adherence to internal controls and regulatory requirements.

Liquidity & Working Capital Optimization

  • Develop short-term and long-term cash flow projections to optimize liquidity.
  • Identify opportunities to reduce interest costs and bank charges.
  • Collaborate with finance and operations to ensure efficient cash utilization and timely payment schedules.

Financial Analysis & Reporting

  • Prepare timely and accurate Treasury reports, including cash flow forecasts, FX gain/loss analyses, and treasury KPIs.
  • Analyze variances and trends, providing actionable insights to senior management.
  • Ensure compliance with all corporate accounting policies, IFRS/GAAP, and regulatory requirements.

Banking & Relationship Management

  • Serve as the primary liaison with banks and financial institutions, managing account setups, credit facilities, and service enhancements.
  • Negotiate and oversee banking products, ensuring favorable terms and conditions.
  • Maintain strong, professional relationships with all banking partners.

Internal Controls & Compliance

  • Maintain robust internal controls for treasury operations, including authorization limits and audit documentation.
  • Support internal and external audits, providing necessary documentation and explanations.
  • Stay current with relevant regulations and industry best practices.

Process Improvement & Automation

  • Proactively identify opportunities to streamline and automate treasury processes, with a focus on Excel-based solutions.

Collaborate with finance, and operations teams to implement new tools and processes that enhance treasury efficiency

  • Design and maintain complex Excel models for forecasting, variance analysis, and scenario planning. Implement AI tools for use in the function.

Cross-Functional Collaboration

  • Work closely with finance and Operations teams to support key financial initiatives.
  • Provide strategic input on cash management considerations for new projects and investments.
  • Participate in ad-hoc financial projects as required.

Desired Candidate Profile

Bachelors degree in Finance, Accounting, Economics, or a related field.

Minimum 5 years of experience in a Treasury or Corporate Finance role, preferably within a multinational environment.

Professional certification (e.g., CPA, CMA, CTP) is a plus.

Company Industry

Department / Functional Area

Keywords

  • Treasury Manager

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