Head of Treasury Trading
QatarEnergy · Doha
Job description
About the role
The Head of Treasury Trading will lead the funding strategy, manage interest rate and non‑trading forex exposures, and provide treasury advice to internal stakeholders of QatarEnergy Trading. The role supports the trading team in mitigating forex risk and ensures seamless back‑office operations.
Key responsibilities
- Set and execute the funding strategy for the trading business.
- Manage interest‑rate risk, non‑trading forex exposures, and short‑term liquidity in coordination with Group Treasury Middle Office.
- Provide treasury advice to internal stakeholders and support the trading team with forex risk management.
- Maintain communication with internal counterparties, departments, divisions, and external banks.
- Oversee trading back‑office operations, reporting, accounting, and secure payments/settlements of Group Treasury financings.
- Act as the primary focal point for internal, external, and state bureau audits.
Required profile
- 12‑15 years of experience in trading houses with exposure to LNG trading and corporate financing.
- Previous experience in oil & gas (LNG) or banking institutions is an advantage.
- Bachelor’s degree in Finance, Accounting, Commerce, Business or a recognised professional qualification (Chartered Accountant, CPA, CMA).
Required skills
- Proficiency in MS Office.
- Experience with treasury middleware platforms.
- Knowledge of Bloomberg terminal.
- Familiarity with SAP Treasury Risk Module (TRM) or similar advanced ERP systems.
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Published 2 weeks ago
Expires 1 month from now
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QatarEnergy
Doha