Strategic Treasury Manager: Cash, Funding & Risk
Job Overview
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Date PostedApril 13, 2026
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Location
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Expiration dateJune 18, 2026
Job Description
411_3166864
A major finance institution in Abu Dhabi is seeking a Treasury Manager responsible for overseeing treasury operations, including cash management and liquidity planning. The ideal candidate will develop funding strategies to support business growth, identify financial risks, and ensure compliance with regulatory requirements. This role requires at least 10 years of experience in corporate finance and strong expertise in treasury systems. Competitive compensation and benefits package offered.
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2026-03-27 08:35:29