Almosafer is seeking a Senior Manager - Treasury to lead the company's liquidity, funding, and banking operations. The role is accountable for maintaining strong banking relationships, securing credit facilities, and driving automation across treasury systems.
Requirements
- Develop and execute the group treasury strategy
- Build and maintain strong banking relationships
- Oversee day-to-day treasury operations
- Negotiate credit facilities
- Lead group cash flow forecasting
- Design and implement a robust cash management operating model
- Establish and enforce treasury policies
- Evaluate new banking products and treasury management technologies
- Ensure efficient debt structuring
- Oversee treasury system integration and automation
- Provide strategic insights and reporting to the management
- Support investor relations and rating agencies
- Build, lead, and mentor a high-performing treasury team
Benefits
- Comprehensive health insurance
- Retirement plan
- Generous paid time off
- Ongoing learning and development opportunities
- Recognition and rewards for achievements