Treasury Manager

UCC Holding

  • Нур-Султан
  • Постоянная работа
  • Полная занятость
  • 7 д. назад
Responsibilities:
  • Manage the organization's cash flow, ensuring sufficient liquidity to meet financial obligations while optimizing the use of cash resources.
  • Oversee the development and implementation of cash management strategies and policies to maximize returns on surplus funds and minimize borrowing costs.
  • Manage relationships with banks and financial institutions, negotiating banking services, and maintaining bank accounts to ensure efficient cash management and banking operations.
  • Assess and manage financial risks, including interest rate risk, foreign exchange risk, and credit risk, through hedging strategies and risk management techniques.
  • Develop and implement treasury policies, procedures, and controls to ensure compliance with regulatory requirements and internal governance standards.
  • Conduct cash flow forecasting and analysis to support financial planning, budgeting, and decision-making processes.
  • Supervise the execution of financial transactions, including investments, borrowing, and debt financing, in accordance with established policies and guidelines.
  • Monitor and analyze market trends, economic conditions, and regulatory changes to anticipate potential impacts on the organization's financial position and strategies.
  • Provide financial advice and support to senior management on treasury-related matters, including financial risk assessments, investment strategies, and capital allocation decisions.
  • Lead and develop the treasury team, providing guidance, training, and support to ensure the effective operation of the treasury function.
  • Support the implementation of HSE initiatives, participate in safety awareness activities, and contribute to incident reporting and resolution in alignment with company and IMS policies.
Requirements:
  • Experience in managing banking relationships, negotiating banking services, and optimizing bank account structures to minimize costs and maximize efficiency.
  • Knowledge of regulatory requirements and compliance standards related to treasury operations, including anti-money laundering (AML) regulations and financial reporting standards.
  • Strong communication and interpersonal skills are vital for building relationships with internal stakeholders, external partners, and financial institutions.
  • Experience in developing and implementing treasury policies, procedures, and controls to ensure compliance with regulatory requirements and best practices.
  • ERP knowledge preferably SAP functional skills are a requirement to be successful in this role.
Job Experience:Minimum 8 years working experience, 5 years in a relevant supervisory position.Education:
  • Bachelor's Degree in Accounts and Finance.
UCC Holding is a Qatari-based international Energy, Concessions, and Construction company, distinguished as a Grade A licensed builder and ranked among the world’s leading contractors.Recognized as 41st on ENR’s Top 250 International Contractors, 10th in the Power Sector, and 98th in Buildings, UCC Holding has established a significant footprint in Qatar and across global markets. Our portfolio spans large-scale power generation, aviation, infrastructure, and building projects, delivering transformational developments that shape economies and communities.Since inception, UCC Holding has maintained a consistent track record of profitability, backed by a diverse pipeline of both local and international projects. This success is driven by our ever-expanding team of highly skilled professionals and our commitment to innovation, quality, and sustainability.UCC Holding is part of Power International Holding (PIH), a diversified group with global investments across energy, construction, real estate, healthcare, food industries, lifestyle, and technology.

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