Treasury Manager – Cash Flow, SAP & Operations
Burjline Builders
Job description
About the role
We are seeking a Treasury Manager to support our client in Lusail, Qatar. The role will work closely with the Treasury Director to drive cash flow forecasting, SAP S/4HANA implementation, and treasury operations on a contractual basis.
Key responsibilities
- Assist the Treasury Director in preparing, managing, and reporting group cash flow to senior leadership.
- Develop and implement cash management strategies to optimise liquidity, surplus fund returns and borrowing costs.
- Lead the enhancement, implementation and reporting of all treasury modules in SAP S/4HANA.
- Manage relationships with banks and financial institutions, negotiate services and maintain bank accounts.
- Oversee the group’s trade finance book, including advance payments, performance and retention bonds.
- Administer security instruments such as guarantees, cheque issuance and collateral for loan facilities.
- Develop and enforce treasury policies, procedures and controls to ensure regulatory compliance.
- Mentor and train junior team members to ensure effective treasury operations.
Required profile
- Minimum 12 years of experience in a Tier‑1 bank or corporation, preferably with GCC exposure.
- Bachelor’s degree in Business, Accounting, Finance or Economics.
- Professional qualification such as MBA, CFA, CMA, ACA or ACCA.
- Proven experience managing banking relationships, negotiating services and optimising account structures.
- Strong knowledge of KYC and AML requirements for treasury functions.
Required skills
- SAP S/4HANA implementation and reporting.
- Cash flow forecasting and liquidity management.
- Trade finance operations.
- KYC (Know Your Customer) compliance.
- AML (Anti‑Money Laundering) compliance.
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Published 2 weeks ago
Expires 1 month from now
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Burjline Builders
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