About Our Client
A multinational company specializing in building materials, particularly cement, aggregates, and concrete.
Job Summary
We are looking for a Treasurer to join our Finance team in the UAE, supporting our client's Cement Business. This role will manage cash flow, oversee banking relationships, coordinate treasury activities, and lead financial reporting and budgeting processes.
Key Responsibilities
- Manage and forecast cash flow, ensuring timely payments and collections.
- Coordinate with Sales and Procurement on cash collections and disbursements.
- Maintain strong relationships with banks and monitor bank activities.
- Assess, implement, and oversee working capital financial instruments (e.g., supply chain financing, receivables discounting).
- Prepare monthly CEO reports, consolidate UAE financials, and support annual budget and mid-term plan.
- Ensure compliance with internal controls, company policies, and HSE standards.
- Lead and develop direct reports, fostering a culture of inclusion, safety, and continuous improvement.
Skills
Requirements
Bachelor’s degree in accounting or business administration (ACCA or CMA is a plus).At least 5 years’ experience in Treasury or Controlling roles, with expertise in cash flow management and banking processes.Strong financial reporting and analysis skills.Fluent in English.Strong interpersonal and stakeholder management skills.Why Join Us?
You will be part of a world-class team in a company that values innovation, sustainability, and people development. This is an opportunity to make an impact in a dynamic industry while growing your career.
How to Apply
Click Apply Now and join us in building the future!
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