Save Job Back to Search Job Description Summary Similar JobsOpportunity to work with a well established asset managerStrong exposure and compensation packageAbout Our ClientThe client is a top-tier asset manager with a global mandate.Job DescriptionCash ManagementOversee day-to-day cash flow operations, ensuring sufficient liquidity to meet the investment platform's operational needsPerform daily/weekly cash positioning, forecasting, and reconciliation activitiesMaintain relationships with banking partners to support operational needs and streamline banking structures for operational efficiencyEnsure compliance with internal controls, policies, and regulatory requirements in cash management processesDrive operational improvements within areas of cash and liquidity managementMonitor and manage intercompany loansOversee the administration of credit lines and financing facilities, ensuring compliance with terms and conditions.Monitor utilization of credit facilities and manage repayment schedules to optimize interest costs.Prepare and deliver detailed reporting on credit facility usage, costs, and availability for senior management.Foreign Exchange (FX) ExecutionExecute FX transactions, including spot, forwards, and swaps, to hedge currency exposure effectively.Analyse market trends and provide recommendations to manage FX risks.Collaborate with business units to understand and forecast FX requirements.Ensure adherence to the company's FX policies and strategies.Maintain strong relationships with banking and trading partners to achieve optimal pricing and execution.Research and AnalysisTrack, analyse, and report on macroeconomic trends, including interest rates, inflation, exchange rates, and geopolitical developments.Assess the impact of economic and market trends on cash flow, FX exposure, and overall financial risk.Provide regular updates and insights to senior management to support strategic decision-making.Reporting and AnalysisPrepare and present treasury reports, including cash flow forecasts, liquidity reports, and FX performance metrics.Perform variance analysis and recommend improvements based on findings.Support the development of treasury policies and ensure adherence across the organization.Provide input for monthly, quarterly, and annual financial close processes as they pertain to treasury functions.Provide support on group projects including but not limitedThe Successful ApplicantBachelor's degree in finance, economics, or a related field; advanced degree or professional certification (e.g., CFA) is highly desirable5+ years of experience in treasury, cash management, FX execution, and financial analysis within a family office and/or asset management institutionPrior experience in monitoring and analysing macroeconomic trends is a strong advantageStrong quantitative skills with proficiency in financial modelling, statistical analysis, and data visualizationGood understanding of treasury investments and FX hedging strategiesStrong ability to interpret complex data, identify trends, and provide actionable insightsExcellent communication and presentation skillsAbility to collaborate across teams and functions in a fast-paced environment and manage multiple priorities effectivelyWhat's on OfferOpportunity to work with a well established asset managerCompetitive salary & benefits packageContactAsma SiddiquiQuote job refJN-102025-6871981Job summarySectorBanking & Financial ServicesSubsectorTreasuryIndustryFinancial ServicesLocationDubaiContract typePermanentConsultant nameAsma SiddiquiJob referenceJN-102025-6871981