Linum Consult’s client is a major international company that works within the energy sector. They are currently seeking a Senior Treasury Expert to be based in Qatar.
RESPONSIBILITIES
- Developing and implementing financial models and forecasts to support strategic decisions, focusing on short- and long-term cash flow planning
- Designing risk management policies and procedures to mitigate financial risks including, currency, interest rates, and credit risks, planning for regular assessments and strategy adaptations
- Executing daily and monthly cash forecasts; preparing them for review and approval to ensure adequate liquidity for operational and strategic needs
- Implementing the automation of collection channels to improve the efficiency and accuracy of financial transactions
- Managing cash balances and fund utilisation to minimise external borrowing and optimising liquidity, ensuring funds are available to meet day-to-day and strategic financial obligations
- Verifying transaction documents such as invoices to ensure compliance with financial regulations before issuing payment orders
- Ensuring compliance with all banking and financial agreements, including loan covenants, and preparing the necessary documentation for monthly reviews
PROFILE
Bachelor’s degree in Finance, Economics, or Business, ideally with an MBA qualificationMinimum of 10 years’ experience in a treasury role within large, multinational corporationsIdeally have some knowledge of the energy / power sectorExcellent interpersonal and communication skillsAbility to develop and maintain strong relationships with financial institutions and other stakeholdersIdeally have experience working in Qatar or other GCC countriesFluent in spoken and written English#J-18808-Ljbffr