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Group Treasury Manager

Responsible for the Group’s Treasury Function and ensuring strategic alignment of Treasury with theGroup objectives and strategy. The role holder is responsible for building cross-business synergiesand driving higher levels of productivity and profitability by enabling effective liquidity & investmentmanagement as well as management of relationships with Financial Institutions. The role holder isalso responsible for minimizing the liquidity and market risks of the Group and lead balanced relation with internal and external stakeholders. ResponsibilitiesContinuously monitors bank balances and optimizes effective utilization of funds at optimal cost.Prepare cash flow forecasts and build early warning signals to ensure cash equilibrium is always maintained.Direct Group’s fund management and ensures the funds are utilized optimally and the bank’s outstandings are within the limits assigned.Ensures profitability for the business from all treasury activities within specified risk parameters and regulations by guiding the department in the identification and management of foreign exchange, interest rates and other counterparts’ risk exposure.Develops guidelines on Liquidity Management in line with the investment philosophy of the Group and ensures availability of cash to manage the Group’s operational requirements.Leads Group’s cash management activities which cover reconciliation of bank statements, clearing payment and receipts transactions within the system and depositing cash or cheques at the bank.Advise on the projections for fund requirements for the Group based on budget/targets and monitor the asset/liability position and lead the fund-raising activities for the Group.Maximizes the portfolio yield on short term investments by advising on investments in surplus cash in accordance with the investment guidelines while maintaining reserves and adhering to regulatory policies and risk-reward guidelines.Fundraising (Long Term – bilateral/syndication/project finance etc.), loan negotiation and documentation, Debt administration and covenant compliance.Assists the Chief Financial Officer for Group’s entities in Europe, the Middle East, and the African Continent as required by carrying out necessary background work and analysis related to the workstream in:Fundraising, Loan refinancing, Managing debt portfolio, Cash and liquidity management, Risk management and capital structuring.Prepares and maintains Internal/Bank Financial Models and relevant supplementary documents to support and aid decision making to the management.Maintains detailed loan schedules for loans along with debt service and reporting timetables.Monitor currency risks and advise on hedging strategies as and when required.Prepare Treasury dashboards including cash positions, cash flow positions, interest rate management, etc.

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