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naukri

Treasury Accountant

BRONZE HQ DISTRIBUTION AND TRADING FZE
Dubai, UAE
Senior
3 weeks ago
Cash ManagementCash Flow ForecastingBank ReconciliationInvestment ManagementRisk ManagementFinancial Reporting
Free

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Key skills for this role

Cash ManagementCash Flow ForecastingBank Reconciliation
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Key Responsibilities

  • Monitor and manage daily cash balances, forecast cash requirements, and ensure sufficient liquidity for operational needs.
  • Develop and maintain cash flow forecasts to predict future cash needs and make informed financial decisions.
  • Reconcile bank statements with the company's financial records to ensure accuracy and identify discrepancies.
  • Conduct regular reconciliations of bank accounts and other financial accounts.
  • Oversee the company's investments, including short term and long term investments, ensuring they align with organizational goals and risk tolerance.
  • Identify and assess financial risks, including interest rate, currency, and liquidity risks. Develop strategies to mitigate these risks.
  • Prepare and analyze reports related to cash flow, investments, and debt management for internal and external stakeholders.
  • Assist in the preparation of financial reports and statements.
  • Manage the company's debt portfolio, monitor interest rates, make payments, and ensure compliance with loan covenants.
  • Ensure adherence to financial regulations and internal controls related to treasury operations.
  • Keep up to date with industry regulations and best practices for treasury management.
  • Liaise with banks and financial institutions to negotiate terms, manage accounts, and resolve issues.

Additional Responsibilities

  • Monitor and manage cash flow and liquidity management.
  • Maintain accurate and up to date records of all financial transactions.
  • Analyze financial data to identify trends and make recommendations for improvement.
  • Manage foreign currency transactions and exchange rates.
  • Collaborate with internal stakeholders to optimize cash management strategies.
  • Assist in the development and implementation of treasury policies and procedures.

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