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To be successful in the role you will be required to: - managing mid term cash flow forecasting - act as Group bank for inter company activity - be responsible for all dealing - be responsible for treasury system implementation and development - maintain all processes and controls - be responsible for monthly treasury reporting - train and developing team - interact with Group Finance on all accounting aspects - support treasury initiatives You will have a minimum of 5 years experience, preferably in the Middle East and have the abilty to work unassisted as well as part of the team. This is a young and dynamic enviornment and you will need to share their passion for excellence and acheivement.
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