Treasury and Banking Operations Real Estate and Hospitality
V Konnect Associates
Dubai - United Arab Emirates
منذ 4 يوم
source : HireeJobsGulf

Understand manage and supervise all aspects of cash flow Forecast daily cash requirements and execute daily financing decisions Prepare or monitor company s various cash flow forecasts and perform financial modeling Meet with cash management banks to plan cash management vs AH needs Manage relationships with financial service providers Manage all aspects of Inhouse investment portfolios Established network with Banks in UAE Extensive experience in preparing cash forecasts and cash flow analyses Knowledge of investment portfolio strategy banking and financial instruments Required Candidate profile 35 years Finance professional having worked in Treasury Banking Operations for at least 23 years Knowledge of SAP is a plus Advanced analytical organization communication and interpersonal skills Advanced spreadsheet and modeling skills

قدِّم طلب ترشيحك
بريدي الالكتروني
بالضغط على "واصل" ، أعطي موافقة neuvoo على معالجة بياناتي وإرسال تنبيهات إلي بالبريد الإلكتروني ، على النحو المفصل في سياسة خصوصية لـneuvoo . يجوز لي سحب موافقتي أو إلغاء الاشتراك في أي وقت.
واصل
استمارة الطلب