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Treasury Manager

Omega Talent · Abu Dhabi Emirate, United Arab Emirates

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About the CompanyA leading real estate developer in Abu Dhabi is seeking an experienced Treasury Manager to lead its treasury function and support the delivery of a substantial portfolio of landmark developments.About the RoleThis is a strategic leadership role, reporting to the senior finance leadership team, with responsibility for funding strategy, liquidity management, banking relationships and financial risk across the Group.ResponsibilitiesDeveloping and implementing the Group's treasury strategy, policies and governance framework.Managing liquidity, cash flow forecasting and working capital across a multi-entity business.Leading all financing activities, including debt facilities, project funding, refinancing and capital optimisation.Building and managing relationships with local and international banking partners and financial institutions.Monitoring funding arrangements, ensuring compliance with lending obligations and supporting future financing initiatives.Managing foreign exchange and interest rate exposure through effective risk management strategies.Supporting major development projects with funding, financial structuring and treasury advice.Overseeing bank guarantees, letters of credit and other financial instruments required across the business.Driving improvements in treasury systems, reporting, controls and operational efficiency.Leading and developing the treasury team while partnering closely with Finance, Commercial and Project teams.QualificationsDegree qualified in Finance, Accounting, Economics or a related discipline.MBA or professional qualification such as CFA, ACT, ACCA or CPA is advantageous.15+ years' experience within treasury and corporate finance, including at least five years in a senior leadership role.Proven background within real estate development, construction, infrastructure or another capital-intensive sector.Strong experience securing and managing corporate and project finance facilities.Excellent knowledge of liquidity management, cash forecasting, banking relationships and treasury risk management.Good understanding of GCC financial markets and financing structures, including exposure to Islamic finance.Experience working with treasury management systems and ERP platforms such as SAP or Oracle.Strong commercial acumen with the ability to support strategic business decisions.Excellent communication and stakeholder management skills, with experience engaging senior executives, lenders and external partners.Strong experience in treasury and corporate finance.Excellent knowledge of liquidity management and treasury risk management.Experience with treasury management systems and ERP platforms.MBA or professional qualification such as CFA, ACT, ACCA or CPA.Experience in real estate development or capital-intensive sectors.Pay range and compensation packageCompetitive tax-free salary, comprehensive benefits and excellent long-term career progression.