Assistant Treasurer
Job in
Dubai, Dubai, UAE/Dubai
Listed on 2026-02-28
Listing for:
GENESIS Executive Search
Full Time
position Listed on 2026-02-28
Job specializations:
-
Finance & Banking
Financial Analyst, Corporate Finance, Financial Reporting, Banking & Finance -
Accounting
Financial Analyst, Financial Reporting, Banking & Finance
Job Description & How to Apply Below
Dubai, United Arab Emirates | Posted on 02/02/2026
A multinational Jebel Ali free zone company is recruiting an Assistant Treasurer.
Job Summary Summary- Handling day-to-day trade finance activities (such as Letters of credit review, and monitoring) of the company.
- Assisting Senior treasurer in monthly and Quarterly Reporting.
- Handling the day-to-day cash management activities of the company.
- Ensuring Treasury KPI are met
- Reconciliation with Group Treasury.
- Supporting the senior treasurer in the review of the LCs, bank guarantees or SBLCs.
- Supporting senior treasurer in the collection of data such as open LCs, and SBLCs for preparation of trade finance report.
- Daily monitoring of SBLC and credit limits consumption.
- Act as a back for the senior treasurer in case of his absence.
- Supporting the other departments in any trade finance-related query, following up with banks.
- Support senior treasurer in coordinating with banks for the review of LCs terms and conditions, finding relevant banking schemes for confirmation, and advising of LCs/SBLCs.
- Follow up on bank fees related to LCs and SBLCs and ensure the charges are as per the agreement with the banks.
- Responsible for repatriation of funds promptly to group treasury.
- Ensuring minimum cash balance locally and at every month's end with explanations of any cash balance in the accounts.
- Petty cash / corporate cards/E-dirhams cars handling and reconciliation.
- Ensuring Global netting system uploads every month promptly.
- Daily integration of bank statements in Kyriba, correction of codification, and resolving any issues identified daily.
- Reconciliation of treasury forecast with actual in Kyriba.
- Saving and circulation of daily bank statements with the accounting team and communication of receipts to the teams required internally.
- Preparation of payments to suppliers/ sending CFEs and payments in sign now.
- Assisting senior treasurer with the preparation of quarterly HFM reports required by consolidation.
- Updating interest rates such as Bank SOFR, JIBAR, etc for reporting and interest calculation purposes.
- Reconciliation of treasury current account balances and the relevant interest thereon with group treasury.
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