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treasury operations jobs in Ajman
About the job Treasury Department Manager - Cash Management:Monitoring daily cash positions, forecasting short-term cash needs, managing bank accounts, and ensuring sufficient liquidity. - Investment Management:Evaluating and selecting appropriate investment instruments, monitoring performance, and ensuring compliance with company policies. - Risk Management:Identifying and assessing financial...
About the Opportunity We are recruiting on behalf of a fast-growing digital asset trading and investment platform seeking a hands‐on Treasury Operations Analyst to manage day‐to‐day liquidity, collateral, and settlement operations across exchanges, custodians, and wallets. Role Overview This role is critical to ensuring smooth trading operations through accurate, timely, and secure treasury...
Our client is a leading global financial institution that provides a wide range of services in investment banking, securities, asset management, and consumer banking. Responsibilities - Oversee and optimize operational workflows across institutional, consumer, and corporate client segments, including support for the firm's Transaction Banking business. - Contribute to the development and...
A rapidly growing organization in the GCC is seeking an experienced Treasury Accountant to manage treasury operations, including cash flow and banking relationships. The role requires a Bachelor's degree, 5-8 years of relevant experience, and strong analytical skills. Applicants should have hands-on experience with ERP systems and must demonstrate a strategic mindset for process improvement. This...
A leading GCC organization is seeking an experienced Treasury Accountant to manage cash flow and banking relationships. You will oversee treasury operations, ensuring compliance with regulations while contributing to strategic financial planning. The ideal candidate will possess a Bachelor's degree in accounting or finance, with 5–8 years of relevant experience. Strong analytical, communication,...
Key Responsibilities:- Monitor daily cash balances and ensure sufficient liquidity across all bank accounts.- Prepare and process all types of payments (local and international) in accordance with company policies.- Perform bank reconciliations and resolve any discrepancies promptly.- Assist in cash flow forecasting and manage short-term investment activities.- Maintain and update the treasury...
A leading recruitment firm is looking for a Head of Regional Treasury Team to operate remotely. This pivotal role involves setting up the Regional Treasury Team in Brussels, managing staffing, overseeing cash functions, and ensuring compliance with financial processes. The ideal candidate has over 10 years of experience in treasury activities, proven leadership skills, and must be fluent in...
Department: Finance, Credit and Accounting Details: Treasury Officer who will support daily finance and treasury operations, ensuring accurate banking activities, payments processing, and compliance with internal policies. Requirements - - Bachelor’s degree in Finance - 3+ years of experience in a Finance and Treasury Department - Knowledge of trade documents and related processes - Strong...
A luxury hospitality company is seeking a Senior Manager - Corporate Finance to oversee various financial operations. The ideal candidate will have at least 8 years of relevant experience, including a background in Big 4, and a degree in a related field. Strong skills in treasury management, financial risk assessment, and ERP systems are essential, along with effective communication skills. The...
A luxury hospitality leader in the United Arab Emirates seeks a Senior Manager for Corporate Finance. This role involves overseeing treasury operations, managing banking compliance, and conducting financial risk assessments. The ideal candidate should possess at least 8 years of experience, preferably with a Big 4 background, and hold a relevant bachelor's degree along with accounting...
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Head of Regional Treasury Team - REMOTE. In this pivotal role, the incumbent will set the operational framework for treasury activities across Europe, ensuring compliance with corporate policies while promoting efficiency and excellence in financial processes. The position requires strong...
Our client is a leading global financial institution that provides a wide range of services in investment banking, securities, asset management, and consumer banking. Responsibilities - Oversee and optimize operational workflows across institutional, consumer, and corporate client segments, including support for the firm's Transaction Banking business. - Contribute to the development and...
About the Opportunity We are recruiting on behalf of a fast-growing digital asset trading and investment platform seeking a hands‑on Treasury Operations Analyst to manage day‑to‑day liquidity, collateral, and settlement operations across exchanges, custodians, and wallets. Role Overview This role is critical to ensuring smooth trading operations through accurate, timely, and secure treasury...
A luxury hospitality company is seeking a Senior Manager - Corporate Finance to oversee various financial operations. The ideal candidate will have at least 8 years of relevant experience, including a background in Big 4, and a degree in a related field. Strong skills in treasury management, financial risk assessment, and ERP systems are essential, along with effective communication skills. The...
About the Company Our client is a rapidly growing organization in the GCC with a strong focus on financial excellence, governance, and strategic growth. As part of their continued expansion, they are seeking an experienced Treasury Accountant to manage cash flow, banking relationships, and treasury operations while contributing to strategic financial planning. Role Overview The Treasury...
Our client is a rapidly growing organization in the GCC with a strong focus on financial excellence, governance, and strategic growth. As part of their continued expansion, they are seeking an experienced Treasury Accountant to manage cash flow, banking relationships, and treasury operations while contributing to strategic financial planning. The Treasury Accountant will oversee day-to-day...
Department: Finance, Credit and Accounting Details: Treasury Officer who will support daily finance and treasury operations, ensuring accurate banking activities, payments processing, and compliance with internal policies. Requirements - Bachelor's degree in Finance - 3+ years of experience in a Finance and Treasury Department - Knowledge of trade documents and related processes - Strong...
A multinational technology distributor is seeking a Treasury Officer to support daily finance and treasury operations. The candidate will ensure accurate banking activities, payment processing, and compliance with internal policies. Required qualifications include a Bachelor's degree in Finance and 3+ years of relevant experience. The role offers a competitive salary, professional development...
A leading recruitment firm is looking for a Head of Regional Treasury Team to operate remotely. This pivotal role involves setting up the Regional Treasury Team in Brussels, managing staffing, overseeing cash functions, and ensuring compliance with financial processes. The ideal candidate has over 10 years of experience in treasury activities, proven leadership skills, and must be fluent in...
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Head of Regional Treasury Team - REMOTE. In this pivotal role, the incumbent will set the operational framework for treasury activities across Europe, ensuring compliance with corporate policies while promoting efficiency and excellence in financial processes. The position requires strong...