Treasury Analyst

Dubai, United Arab Emirates

Job Description

Overview:
Headquartered in Dubai, UAE, The First Group is a dynamic, integrated global property developer with a fast-growing portfolio of upscale hotels, residential properties, F&B brands and real estate asset management services. Since our launch in 2005, we have carved a highly successful niche offering unrivalled property investment opportunities in high-growth markets to clients from more than 70 countries worldwide.

We were among the first developers to identify the tremendous potential in providing private investors the opportunity to purchase hotel guestrooms, suites and serviced apartments in our collection of upscale properties located in highly popular locations across Dubai. We back up our success with a list of International Property awards along with strategic partnerships with companies such as Wyndham Hotel group, Millennium Hotels, Emirates Airlines and Jumeirah Hotels and Resorts.

To successful candidates, we offer a diverse progressive corporate working environment with clear growth potential along with award winning sales & marketing tools, a state of the art showroom featuring Dubai\xe2\x80\x99s only virtual helicopter tour and endorsements from a number of international sporting celebrities.
:
  • Collaborating with key divisions within Finance and other departments
  • Online banking payments
  • Ensuring that all documentation is in line with company policies and are recorded correctly
  • Setting up process maps & procedures
  • Analysing reports and suggesting improvements where necessary
  • Documentary control for all reports and documentation
  • Ensuring deadlines are always met
  • Maintaining all admin tasks, letters, recording, processing updating, filing, archiving, with a high accuracy and attention to detail standard
  • Review operational risk events and assess their impact
  • Bank Account Management
  • Managing company KYC documentation requirements
  • Managing Vendor registrations and due diligence
  • Maintain Trust Account System and adhere to the rules and regulations of the regulatory authorities
  • Communicate and update management on progress of payments/tasks and assist the internal teams where necessary on any queries
  • Assist in the preparation of consolidated cash flow forecasts
  • Maintain Online Banking Systems and updating Delegation of Authorities and Internal Controls
  • Assist and lead projects / tasks set by and agreed by the manager
  • Utilizing the full potential of the ERP system and assist in the setup of reports/integrations.
  • Liaise with the legal department on required document queried by the bank or regulatory authorities and understanding of these required docs
  • Liaise with the banks on operational queries from internal teams
  • Update Daily funds position report and ensure sufficient liquidity in each account
  • Assisting Treasurer to ensure company meets its compliance responsibilities in relation to the applicable governing rules and regulations
  • Knowledge of Escrow banking & RERA rules and regulations and adhering to these rules
  • Assist in the investigation, analysis and documentation of client\xe2\x80\x99s KYC\xe2\x80\x99s
  • Assist in the documentation for onboarding with banks and account openings/closing/updating signatures
  • Onboarding and maintaining payment gateways
  • Analysing and managing communication relating to chargebacks and disputes both internally and externally and suggesting controls
Desired Skill & Expertise:
  • Understanding of group legal organisation structures with many entities
  • Treasury experience
  • Dealing with banks and banking compliance through e-mail & telephone
  • Dealing with Vendors through e-mail & telephone
  • Experience in dealing with all kinds of banking documentation
  • Understanding of risk management and implementation of controls & procedures
  • High attention to detail and accuracy
  • Ability to adapt to constant change and \xe2\x80\x98on-demand\xe2\x80\x99 requests
  • Ability to prioritise effectively
  • Constantly seek to understand, think outside the box and suggesting solutions
  • Accountability for tasks given
  • Working independently and not needing to be supervised
  • Experience in ERP /system/ banking integrations desirable
  • Ability to clearly and concisely articulate messages in a professional manner
  • Experience in dealing independently with internal/ external auditors
  • Experience in presenting reports to management
  • Can-do attitude
  • Experience in implementation of process improvements
  • Meets deadlines, flexible and completing tasks
  • Works well with others with a positive attitude
  • Experience in daily /weekly / monthly bank account management
  • Cash flow forecasting
  • Flexible

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Job Detail

  • Job Id
    JD1529168
  • 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