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Job Description
Job Summary
The Senior Treasury Officer is responsible for managing the company’s treasury operations, including cash flow management, banking relationships, Letters of Credit (LC), and Letters of Guarantee (LG). The role ensures efficient liquidity management, compliance with banking regulations, and support for trade finance activities.
Key Responsibilities
Cash Management & Banking Relationship
- Manage daily cash positions, monitor bank balances, and bank reconciliation
- Maintain strong relationships with banks
- Negotiate banking facilities, fees, and charges
- Coordinate for credit lines, overdrafts, and trade finance facilities
Letters of Credit (LC)
- Handle issuance, amendment, negotiation, and closure of import/export LCs
- Ensure compliance with UCP 600 and internal policies
- Coordinate with banks, suppliers, and internal departments on LC documentation
- Review LC documents to ensure accuracy and timely processing
Letters of Guarantee (LG)
- Arrange issuance, renewal, amendment, and cancellation of bank guarantees
- Maintain records and monitor expiry dates of all guarantees
- Ensure compliance with contractual and banking requirements
Job Requirements
Qualifications & Skills
Education
- Bachelor’s degree in finance, Accounting, Business Administration, or related field
- Professional certifications (CTP, CFA, or similar) are an advantage
Experience
- Minimum 5 years of experience in treasury or finance
- Strong hands-on experience with Letters of Credit (LC) and Letters of Guarantee (LG)
- Experience working with banks and trade finance instruments
Skills
- Strong knowledge of treasury operations and banking procedures
- Good understanding of international trade finance
- Excellent analytical and negotiation skills
- High attention to detail and strong organizational skills
- Proficiency in MS Excel and ERP/Banking systems
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