Senior Treasury Analyst
McDermott View all jobs
- Dubai
- Permanent
- Full-time
- Coordinate between commercial/bids team and corporate treasury for the following
- Review and approval of bank guarantee text format for bid submission.
- Arrange for any bank support letters from corporate treasury or bank as per the requirement
- Coordinate with Bid and Project Team
- Liaise with corporate treasury/bank for the Bank Guarantee issuance.
- Reach out to prospect relationship banks for identifying opportunities for new credit lines
- Ensure regular updates and information is being shared with existing Banks for annual renewal of facility
- Maintain healthy banking relations with existing and resolving any issues with respect to receipt, payment, Bank Guarantees
- Prepare list of outstanding Bank Guarantee details with project, entity and the facility used on a monthly basis.
- Prepare Bank Guarantee forecast quarterly in consultation with the project teams and ensure timely internal reviews and submission to stakeholders.
- Review and sign off the petty cash reimbursement claims from petty cashier(s) in line with company policies and procedures
- Review and sign of the treasury receipt journal monthly as per the SOX control requirement
- Ensure SOX compliances relating to treasury activities are handled as per company policy.
- Ensure effective cash flow management by funding the account periodically
- Any ad hoc requirement for the Treasury Function to be adhered
- Hands on experience in Treasury products and system
- Qualified Chartered Accountant or equivalent qualification from internationally recognized institute
- Around 3-6 years of relevant post qualification experience
- Good understanding of banking functions
- Good communication skills
- Detailed experience in own discipline
- Ability to multi-task and manage tight reporting schedule
- May undertake projects and shares expertise
- Ability to work independently with minimum amount of supervision
- Ability to work with stakeholders of all levels as needed