Associate Corporate Finance | Global Treasury Center | Corporate Services

Dubai, United Arab Emirates

Job Description

Overview Of The Role:
The Treasury Manager, Corporate Finance, plays a pivotal role at Al-Futtaim Group by supporting Senior Treasury Managers in optimizing corporate finance activities. This position involves working across two critical segments: Funding and Corporate Finance. The role ensures alignment with treasury policies, facilitates strategic and analytical activities, such as mergers & acquisitions, financial modeling, and capital structuring. The Treasury Manager is responsible for executing Group-wide projects like M&A and capital allocation, ensuring successful funding structures and continuously enhancing financial performance monitoring. The position is integral to providing a comprehensive, centralized service across all Al-Futtaim Group entities.
What You Will Do:
Corporate Finance

  • Support M&A, new investments, and new projects in coordination with Corporate Development Unit (CDU) and divisions.
  • Assist in scoping due diligence assignments and summarizing consultant reports for decision making.
  • Review business plans and feasibilities for adequacy and financial accuracy; prepare valuation analysis using techniques like DCF, LBO.
  • Provide inputs to the Group Investment Committee (GIC) process in coordination with CDU.
  • Produce marketing materials with divisions and external advisors.
  • Undertake equity research and maintain an Investment Dashboard.
Capital Structuring
  • Review and assist in setting proper business assumptions for Financial Models prepared by divisions.
  • Guide divisions in designing financial models and propose coding routes for capital structure.
  • Analyze and assess portfolio companies' funding requirements.
  • Perform scenario analysis and ratio calculations.
Financial Modelling
  • Produce complex financial models using Consolidated Group Financials.
  • Support various Group initiatives such as Capital Allocation and internal Group Credit Rating.
  • Assess impact of external growth opportunities on Group Consolidated Balance Sheet.
  • Provide accurate financial models.
Group Funding
  • Prepare analysis for funding decisions for Group Treasurer and Group CFO.
  • Structure Group funding through new equity funding and intercompany loans.
  • Ensure documentation for IC term loans is in place and manage execution processes.
  • Conduct bonds search and propose pricing for in-house bank loans compliant with Transfer Pricing Policy.
Cash and Dividend Collection
  • Review divisions' balance sheets and cash positions for dividend payment compliance.
  • Coordinate cash pooling with GTC-Liquidity and Risk Management team.
  • Record movements from divisions in systems and maintain central cash flow forecasts.
  • Analyze year-end distributable earnings and calculate proposed dividend payments.
Analysis, Valuation, and Research
  • Establish and update benchmark financial return requirements based on market research.
  • Support Group's market intelligence on valuations, peer groups, and credit ratings.
  • Ensure compliance with Stage Gate process for investment opportunities.
  • Maintain standardized valuation methodology and act as gatekeeper of the Stage Gate process.

Skills Required

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Job Detail

  • Job Id
    JD2131942
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Dubai, United Arab Emirates
  • Education
    Not mentioned