Office Manager
Alarinova for Real Estate and Tourism investment
Manage daily cash positioning, forecasting, and liquidity planning to ensure optimal cash utilization across the organization.Execute and monitor all treasury transactions, including payments, wire transfers, and bank reconciliations.Oversee banking relationships, negotiate terms, and maintain compliance with internal controls and external regulations.Prepare and analyze treasury reports, including cash flow statements, investment performance, and debt schedules.Support month-end and year-end closing processes by reconciling treasury accounts and preparing related journal entries.Develop and implement treasury policies, procedures, and best practices to enhance operational efficiency and risk management.Coordinate with internal departments to ensure timely funding for operational and capital requirements.Assist in the management of short-term investments and debt instruments, ensuring compliance with company policies.Monitor and report on foreign exchange exposures and recommend hedging strategies as needed.Lead or participate in treasury-related projects, system upgrades, and process improvement initiatives.
Minimum of 12 years of experience in treasury, accounting, or finance roles within a corporate environment.Demonstrated expertise in cash management, banking operations, and financial analysis.Strong understanding of treasury systems, banking platforms, and financial software.Proven ability to manage multiple priorities and meet tight deadlines in a fast-paced setting.Excellent analytical, problem-solving, and decision-making skills.Exceptional attention to detail and accuracy in financial reporting.Strong interpersonal and communication skills for effective collaboration with internal and external stakeholders.Ability to maintain confidentiality and exercise sound judgment in sensitive financial matters.Experience with process improvement and implementation of treasury best practices.Willingness to work onsite in an office-based arrangement.
Minimum of 12 years of experience in treasury, accounting, or finance roles within a corporate environment.Demonstrated expertise in cash management, banking operations, and financial analysis.Strong understanding of treasury systems, banking platforms, and financial software.Proven ability to manage multiple priorities and meet tight deadlines in a fast-paced setting.Excellent analytical, problem-solving, and decision-making skills.Exceptional attention to detail and accuracy in financial reporting.Strong interpersonal and communication skills for effective collaboration with internal and external stakeholders.Ability to maintain confidentiality and exercise sound judgment in sensitive financial matters.Experience with process improvement and implementation of treasury best practices.Willingness to work onsite in an office-based arrangement.
Opportunity as "Treasury Manager" at SAGE Hospitality located in katameya on a Full-Time basis, suited for Senior Level candidates. Key details from listing: Manage daily cash positioning, forecasting, and liquidity planning to ensure optimal cash utilization across the organization.Execute and monitor all treasury…
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