Job Overview
Treasury Officer – Qatar (Doha)
Location: Doha, Qatar
Employment Type: Full-Time
Industry: Banking | Treasury Operations | Financial Markets
Position Overview
An outstanding opportunity is available for an experienced Treasury Officer to support treasury operations within a dynamic banking environment. This role is ideal for finance professionals with strong analytical capabilities and a solid understanding of liquidity management, cash flow forecasting, and financial market operations.
The successful candidate will play a vital role in managing liquidity positions, supporting investment activities, monitoring funding requirements, and ensuring efficient treasury operations while contributing to the organization’s financial stability and long-term strategic objectives.
Key Responsibilities
- Monitor daily liquidity positions and cash balances.
- Prepare short-term and long-term cash flow forecasts.
- Support funding and investment activities.
- Execute treasury transactions in accordance with approved policies.
- Monitor money market and foreign exchange activities.
- Assist in managing banking relationships and correspondent accounts.
- Prepare treasury reports for senior management.
- Ensure compliance with treasury policies and regulatory requirements.
- Support asset and liability management initiatives.
- Analyze interest rate and liquidity risks.
- Maintain treasury records and transaction documentation.
- Collaborate with finance, risk, and operations teams.
- Participate in treasury system enhancements and process improvements.
- Monitor market developments affecting treasury operations.
- Contribute to strategic treasury planning initiatives.
Required Qualifications
- Bachelor’s degree in Finance, Banking, Economics, Accounting, or a related discipline.
- Experience in treasury operations, banking, corporate finance, or financial markets.
- Strong understanding of liquidity management and treasury principles.
- Knowledge of financial instruments and foreign exchange operations.
- Excellent analytical and quantitative skills.
- Proficiency in Microsoft Excel and treasury management systems.
- Strong organizational and communication skills.
- Ability to work effectively under pressure and meet deadlines.
Preferred Skills
- Treasury Operations
- Liquidity Management
- Cash Flow Forecasting
- Financial Markets
- Asset & Liability Management
- Risk Analysis
- Foreign Exchange
- Banking Systems
- Financial Reporting
- Strategic Planning
Benefits
- Highly competitive tax-free salary
- Performance-based annual incentives
- Housing allowance
- Comprehensive medical insurance
- Annual return airfare
- Professional treasury and finance certifications
- Continuous learning and career development programmes
- Flexible and collaborative working environment
- Generous paid annual leave
- Excellent long-term career growth within the banking sector
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