Senior Treasury Manager: Cash, FX and Working Capital
Job Overview
-
Date PostedApril 13, 2026
-
Location
-
Expiration dateJune 18, 2026
Job Description
411_3433934
A financial services company in Dubai is seeking a highly experienced Treasury Manager. The role requires 10-12 years in treasury management, focusing on working capital, trade finance, cash management, and foreign exchange risk. Proficiency in SAP and strong communication skills are essential. The successful candidate will lead a team and maintain relationships with financial institutions. This position offers a competitive salary and dynamic work environment.
#J-18808-Ljbffr
2026-03-29 07:09:57