Remote-Friendly Treasury Manager – Liquidity, Risk & Growth
نظرة عامة على الوظيفة
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تاريخ الإعلانمارس 8, 2026
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الموقع
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تاريخ إنتهاء الصلاحية--
المسمى الوظيفي
411_3304276
A leading luxury retail company is seeking a Corporate Treasury Manager in Dubai to oversee and optimize financial activities related to liquidity and risk management. Key responsibilities include managing cash flow, developing treasury policies, and mitigating financial risks. Ideal candidates should have a Bachelor’s degree in Finance, 6 years of experience in corporate treasury, strong analytical skills, and be fluent in English. The company offers competitive benefits and promotes diversity and inclusion.
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2026-02-27 08:35:44