Start Date
Immediate
Expiry Date
02 Aug, 25
Salary
0.0
Posted On
02 May, 25
Experience
2 year(s) or above
Remote Job
Yes
Telecommute
Yes
Sponsor Visa
No
Skills
Cash Flow Forecasting, Financial Data, Economics, Ctp, Caia, Ifrs, Asset Management, Finance, Banking Relationships, Financial Risk Management
Industry
Financial Services
EDUCATION
PRIOR EXPERIENCE
TECHNICAL EXPERTISE, SKILLS OR KNOWLEDGE
PURPOSE OF THE ROLE
The Treasury Manager is tasked with overseeing EIA’s liquidity, financial risks, and treasury operations. This position is pivotal in ensuring alignment with EIA’s strategic objectives through effective cash flow management, risk mitigation, and compliance with both international and UAE financial regulations. The Treasury Manager is instrumental in cultivating banking relationships, advancing technology adoption, and ensuring policy compliance to enhance financial performance while supporting the organization’s dual mandate of maximizing financial returns and advancing economic priorities.
The Finance, Treasury & Investment Operations Department is an essential element of EIA’s organizational structure, responsible for managing liquidity, risk, and financial operations. This department assumes a strategic role in aligning treasury activities with EIA’s dual mandate of maximizing financial returns and supporting the economic objectives of the UAE. By utilizing sophisticated financial systems, streamlining processes, and adhering to both global and UAE regulations, the department ensures strong governance and operational efficiency.