Full Time

Treasury Manager

  • Remote
  • Specialism : Manager, Treasury
  • Post Date: June 30, 2026
  • Expires In : 91 Days
  • Apply Before: September 30, 2026
Job Overview

Treasury Manager – Qatar (Doha)

Location: Doha, Qatar

Employment Type: Full-Time

Industry: Banking | Treasury Operations | Financial Markets

Position Overview

An exceptional opportunity has become available for an experienced Treasury Manager to oversee treasury operations and liquidity management within a modern banking environment. This strategic role is designed for a finance professional with strong expertise in funding strategies, cash flow optimization, investment management, and financial market operations.

The successful candidate will play a key role in safeguarding financial stability by managing liquidity, optimizing treasury processes, and supporting strategic financial planning while maintaining compliance with regulatory and internal governance requirements.


Key Responsibilities

  • Oversee daily treasury operations and liquidity management.
  • Develop short-term and long-term funding strategies.
  • Monitor cash flow positions and liquidity forecasts.
  • Manage investment portfolios and money market activities.
  • Analyze interest rate, liquidity, and market risks.
  • Coordinate banking relationships and treasury service providers.
  • Prepare treasury performance reports and executive dashboards.
  • Support asset and liability management initiatives.
  • Ensure compliance with treasury policies and financial regulations.
  • Optimize treasury systems and operational processes.
  • Collaborate with finance, risk, and business leadership teams.
  • Evaluate market developments affecting treasury operations.
  • Support strategic capital planning initiatives.
  • Lead treasury process improvement projects.
  • Mentor treasury professionals and promote operational excellence.

Required Qualifications

  • Bachelor’s degree in Finance, Accounting, Banking, Economics, or a related discipline.
  • Proven experience in treasury management or corporate finance.
  • Strong understanding of liquidity management and financial markets.
  • Excellent analytical and financial modelling skills.
  • Experience with treasury management systems.
  • Strong leadership and organizational abilities.
  • Advanced Microsoft Excel proficiency.
  • Effective communication and decision-making skills.

Preferred Skills

  • Treasury Management
  • Liquidity Planning
  • Cash Flow Forecasting
  • Financial Markets
  • Asset & Liability Management
  • Investment Analysis
  • Financial Reporting
  • Risk Analysis
  • Leadership
  • Strategic Finance

Benefits

  • Attractive tax-free salary
  • Annual executive bonus
  • Housing allowance
  • Premium healthcare coverage
  • Annual return airfare
  • Professional treasury certifications
  • Leadership development programmes
  • Flexible work environment
  • Generous paid annual leave
  • Long-term career advancement opportunities

Are you excited about this opportunity?

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 Apply now by clicking on the “Apply Now” button below. 

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