Great role for a Group Treasury Director in Dubai, United Arab Emirates.
Excellent Dubai based role for an experienced treasurer
Excellent salary and bonus structure
About Our Client
Based in Dubai, our client is a large organization with a diversified range of businesses generating turnover in excess of USD 1 billion.
Job Description
The Group Treasury Director will lead and manage the Group Treasury function and is responsible for funding strategy, management of cash, risk management and managing the Group's banking relationships.
The Treasury Director will report to the Group CFO and provide advice to protect shareholder interests and maximize value creation with a long term view on risk and compliance. The role includes guiding the corporate Investment and Financial Risk committees. Additionally the chosen incumbent will ensure the Group is complying with the Treasury Policy; staying abreast of economic/market conditions and supervising the Treasury team.
The successful candidate will be directly responsible for the Group's local and overseas treasury matters and will control the funding requirements and current loan facilities.
The job would require:
Prior exposure to managing financial <span class='keyword_link'><a href="/resources/skills/economics/emerging-markets">risk in emerging markets</a></span>
Strong understanding of derivative instruments and commodity products
Prior experience in Treasury systems implementation
Experience with international reporting and knowledge of IFRS reporting with strong experience in Hedge Accounting
Strong experience of treasury operations (debt, investments, transactions and financial risk management) in both developed and developing countries, ideally including the MENA region.
Strong knowledge of derivatives
The Successful Applicant
The Treasury Director:
Should be ACT qualified (or ACA - Chartered Accountant); hold a degree in Finance; post graduate level qualification is preferable (MSc, <span class='keyword_link'><a href="/resources/careers/designations/cfa-vs-mba"><abbr title="Masters in Business Administration">MBA</abbr></a></span>);
Has a minimum of 10-15 years progressive experience in MNC with exposure to EMEA region
Has prior corporate treasury experience in a multinational company (<span class='keyword_link'><a href="/resources/skills/trading-investing/ftse-indices">FTSE</a></span>/ Fortune preferred)
Should have developed and emerging markets coverage experience
Has strong interpersonal and communication skills, for liaising with senior management, operational staff, and company bankers and investors
Is attentive to detail and accuracy, for dealing with company funds and managing substantial contracts and capital projects
Is entrepreneurial in nature, hardworking and initiative driven
What's on Offer
Excellent tax free package with benefits: generous bonus, family medical and business class flights.
Remuneration will be offered to reflect the strength of your expertise and experience and will include excellent expatriate benefits.
Apply for this job
For more information contact Govind Mohandas on +971 2611 9200 quoting job reference 21712