Job description
About the role
Join Abu Dhabi Commercial Bank’s Treasury division as a Senior Analyst, where you will play a pivotal role in managing daily treasury operations across foreign exchange, money market, domestic/foreign, cash management, and fixed income activities. You will work in a collaborative environment that values diversity, inclusion, and continuous professional growth.
Key responsibilities
- Execute day‑to‑day treasury operations for FX, MM, DV, CM, FI trade settlements and Nostro cash management in line with bank policies.
- Prepare and submit comprehensive Treasury Operations reports to the line manager for timely financial insight.
- Monitor operational risk, follow the bank’s risk and incident management framework, and alert management of any issues.
- Liaise with internal departments to ensure accurate and timely execution of treasury‑related functions.
- Adhere to all organisational policies, SOPs, and service standards for customers and stakeholders.
- Manage personal performance in accordance with the bank’s people‑management policies.
Required profile
- Minimum 4 years of experience in Treasury Operations covering FX, MM, DV, CM, or FI.
- Bachelor’s degree in Finance or a related field.
- Strong knowledge of treasury product workflows and Nostro cash management.
- Understanding of custodial settlement processes and payment‑system messaging.
Required skills
- FX product knowledge
- Money Market (MM) operations
- Domestic/International (DV) handling
- Cash Management (CM) expertise
- Fixed Income (FI) settlement
- Nostro cash management operations
- Custodial settlement procedures
- Payments systems and message categories
What we offer
- A respectful, caring, and disciplined work environment.
- Opportunities for career advancement within a leading UAE bank.
- Access to diverse banking solutions, including Islamic finance and green bonds.