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Treasury Accountant

Aspen Pharma Group

Dubai, United Arab Emirates · Full Time

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Experience
3–5 yrs
Salary
Openings
1
Posted
3 hours ago
Work mode
In office
Education
Finance Management, Treasury Management, Accounting, or FP&A
Resume
Required to apply

Where you'll work

Job description

Job Purpose

The Treasury Accountant will oversee the design, organization, and day-to-day execution of treasury processes. The role focuses on maintaining sufficient liquidity, handling treasury instruments, and supporting payment operations, foreign exchange activity, cash planning, and forecasting. A strong emphasis is placed on accuracy, integrity, and compliance throughout all treasury activities.

Qualifications

A background in Finance Management, Treasury Management, Accounting, or FP&A is required, with Finance Management and Treasury Management being the preferred areas of study.

Experience and Technical Knowledge

The position calls for 3 to 5 years of prior treasury experience. The candidate should also be highly proficient in Microsoft Office, especially Excel.

Knowledge Areas

  • Intermediate understanding of FX trading tools
  • Intermediate knowledge of trading and hedging
  • Advanced capability in cash tools and treasury processes
  • Advanced knowledge of liquidity and FX forecasting and planning
  • Advanced handling of payment runs

Key Responsibilities

Cash Flow and Liquidity

  • Build and review monthly liquidity forecasts, FX forecasts, and cash flow statements.
  • Ensure the business has adequate liquidity to support both operational and strategic funding requirements.
  • Carry out payment runs accurately and within required timelines.
  • Establish, administer, and maintain cash pools to improve cash efficiency across entities.
  • Complete monthly cash account reconciliations on schedule and with precision.

FX Management

  • Track foreign exchange movements and execute FX transactions.
  • Maintain FX rates in SAP and ensure related system interfaces remain accurate.
  • Provide reporting on FX reasonability, cash balances, and treasury performance indicators.

Banking and Financial Institution Management

  • Serve as the main contact for banks, credit card providers, and FX trading service providers.
  • Administer bank mandates and manage the opening and closure of bank accounts.
  • Oversee bank guarantees, loans, credit cards, cheques, and petty cash.
  • Control authorization settings, online banking access, and treasury user permissions.
  • Negotiate agreements with banks and card providers with a focus on cost effectiveness.

Governance, Controls, and Compliance

  • Maintain segregation of duties, internal control standards, and regulatory compliance.
  • Keep treasury guidelines, manuals, and regulations current.
  • Ensure treasury systems and procedures align with group policies and external obligations.

Systems, Reporting, and Process Improvement

  • Manage treasury interfaces such as payment runs, FX rates, and FX exchanges.
  • Prepare accurate and timely reporting for Group on financial data, FX exposures, thresholds, and liquidity metrics.
  • Improve workflows, support automation, and contribute to greater operational efficiency.

Leadership and Projects

  • Lead treasury projects from planning through implementation.
  • Support cross-functional initiatives and process enhancement work.
  • Coach and mentor the Treasury Junior Accountant to build capability and transfer knowledge.

Additional Information

This role is based in Dubai, United Arab Emirates, and is a full-time onsite position.

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