As a Senior Treasury Analyst at Deriv, you\xe2\x80\x99ll be a key member of our treasury function, ensuring the efficient management of our financial assets. You\xe2\x80\x99ll have a background in treasury operations, cash management, risk management, and financial analysis.
Your responsibilities will include deploying and improving strategies to optimise the company\xe2\x80\x99s financial operations, mitigating risks, and contributing to the overall financial health and growth of Deriv. Furthermore, you\xe2\x80\x99ll be a tech-savvy individual with experience in treasury applications to be the right fit for this position.
Your challenges
Deploy and improve treasury strategies that align with the company\xe2\x80\x99s financial goals and risk appetite, considering market dynamics, regulatory frameworks, and emerging trends.
Offer operational guidance and recommendations to senior management on cash optimisation, investment strategies, and risk management initiatives, including preparing regular reports and presentations for senior treasury management and stakeholders.
Collaborate with cross-functional teams, such as Finance, Compliance, and Operations, to effectively assess and mitigate financial risks.
Be aware of industry best practices, emerging technologies, and regulatory changes in treasury management, and drive actions that bolster the company\xe2\x80\x99s competitive edge.
Support treasury-related projects and initiatives, including implementing treasury management systems and formulating investment strategies.
Monitor and analyse key performance indicators (KPIs) and financial metrics to evaluate the effectiveness of treasury strategies and pinpoint opportunities for enhancement.
Mentor and cultivate junior treasury staff, promoting a culture of continuous learning, innovation, and collaboration across the team.
Lead the development and enforcement of policies, procedures, and controls to maximise cash management, liquidity, and working capital efficiency.
What you have
Bachelor\xe2\x80\x99s degree in Finance, Accounting, or a related field; ACT, CTP, or CFA certifications are preferred
3+ years of experience in treasury or related financial roles, with a proven track record of success in cash management, risk management, and financial analysis
Knowledge of financial instruments, banking products, and treasury management systems
Excellent analytical skills and attention to detail, with the ability to analyse complex financial data and make sound recommendations
Proficiency in financial modelling and Microsoft Excel; experience with treasury management software will be a plus
Strong communication and interpersonal skills, with the ability to collaborate effectively with cross-functional teams and build relationships with internal and external stakeholders
Proactive attitude, with the ability to work independently, prioritise tasks, and meet deadlines in a fast-paced environment
Strong leadership and people management potential
Ability to thrive in a fast-paced and dynamic environment
Excellent spoken and written English communication skills
Benefits
Market-based salary
Annual performance bonus
Medical insurance
Housing and transportation allowance
Casual dress code
Work permit
A chance to work with top talent from across the globe (70+ nationalities)
Ample team-building and bonding activities
Great overseas travel opportunities
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