HEAD, TREASURY TRADING at QatarEnergy
Doha, Doha, Qatar -
Full Time


Start Date

Immediate

Expiry Date

18 Aug, 26

Salary

0.0

Posted On

20 May, 26

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Funding Strategy, Interest Rate Management, Forex Risk Management, Liquidity Management, Treasury Operations, Financial Reporting, Accounting, People Management, Leadership, Coaching, LNG Trading, Corporate Financing, Treasury Middleware, Bloomberg, SAP TRM, Audit Coordination

Industry

Oil and Gas

Description
Primary Purpose of the Job Responsible for setting the funding strategy, managing interest rates, non-trading forex exposures and provide treasury advice to the internal stakeholders of QatarEnergy Trading. Support Trading team in managing trading forex risks. Manage communication with Internal Counterparties, departments, and divisions, and to engage with external counterparts (e.g., banks) in conjunction with corporate treasury. Responsible for managing short term liquidity in coordination with Group Treasury Middle Office. Responsible for Trading Back Office Operations, Reporting/Accounting and secure payments/settlements of Group Treasury financings/deals in coordination with Group Treasury Back Office. In addition to the above, also act as a primary focal point for Internal Audit, External Audit, State Bureau Audit. Required Experience and Skills At least 12-15 years of experience in trading houses adequate exposure to LNG trading knowledge and trade and corporate financing. Previous experience in similar capacity in an oil and gas (LNG) industry or banking institutions would be an added advantage. Knowledge of systems in a computerized business environment which includes knowledge and experience in MS Office, Treasury middleware, Bloomberg, SAP Treasury Risk Module (TRM) or similar advanced ERP systems. Excellent people management skills, leadership, and coaching skills. Educational Qualifications Bachelors/ in Finance/ Accounting/ Commerce/ Business and/ or globally recognised professional qualifications such as Chartered Accountant, Certified Public Accountant and Cost & Management Accountant.
Responsibilities
Responsible for setting funding strategies, managing interest rates and forex exposures, and overseeing short-term liquidity. Manages treasury back-office operations, reporting, and serves as the primary focal point for internal and external audits.
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