Do you want to contribute directly to successful business outcomes by driving digital transformation for its customers' businesses, connecting 75k organizations forward in a secure way? Are you motivated to evolve the global best practices within all sectors with hundreds of best-in-class IT vendors, alongside its services and solutions?
Noventiq is a leading global solutions and services provider:Founded in 1993
Headquartered in London, UK
Headcount of 6400 employees
Partnering with Microsoft, IBM, Oracle, Google, AWS and up to 500 other vendors
Operating in roughly 60 countries
16 strategic acquisitions
What's in it for you?
Here you will collaborate with multi national teams, ameliorate to a bazillion of innovative projects that deliver the most creative and cutting-edge solutions, and have an opportunity to continuously learn and grow, capable of taking on more significant responsibilities and leadership roles.
Your Impact on the Mission:
Act as key user and project lead for GTreasury roll-out (Cash Visibility, Forecasting, BAM)
Coordinate with IT, banks, and treasury teams across regions to ensure integration and adoption
Monitor and report on daily global cash positions across 1000+ accounts
Coordinate internal funding and short-term cash decisions
Build and maintain 13-week rolling cash flow forecasts
Work with regional teams to gather and analyse inputs
Track variances and improve forecasting accuracy
Analyse FX exposures across regions, support FX execution and hedging in line with group policy
Monitor settlements, revaluation impacts, and accounting compliance
Liaise with banking partners on fee reviews and account structures
Maintain signatory oversight and audit/compliance readiness
Prepare dashboards and reports for senior leadership
Ensure compliance with treasury policies, controls, and audits
What You'll Bring to The Table - About You:
Bachelor's degree in Finance, Accounting, Economics (ACT/AMCT, CFA preferred)
5+ years of treasury experience in a multinational environment
Hands-on TMS expertise (ideally GTreasury, including implementation/optimisation)
Strong knowledge of short-term cash forecasting, FX execution, and global banking operations
Advanced Excel; Power BI / data analytics a plus
Excellent organisational and cross-border communication skills
* Fluent English
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