Senior Analyst - Treasury Operations

EMIRATES GLOBAL ALUMINIUM PJSC

On-site
4-5 years treasury front office experience
Derivatives knowledge (forwards, futures, swaps)
Sap and treasury management systems proficiency
The role manages financial risk and investments to minimize exposure while maximizing earnings on cash reserves

Job Summary

  • The role manages financial risk and investments to minimize exposure while maximizing earnings on cash reserves.
  • Responsibilities include conducting foreign currency and commodity derivatives hedging and maintaining real-time hedge position data.
  • The position supports strategic commodity hedging programs and acts as a backup for trade finance specialists including LC issuance.

Matching Summary

The role manages financial risk and investments to minimize exposure while maximizing earnings on cash reserves.

Skills & Requirements

Must-have

  • 4-5 years Treasury front office experience
  • Derivatives knowledge (forwards, futures, swaps)
  • SAP and Treasury Management Systems proficiency
  • Bloomberg, Reuters, Fast Market data platforms
  • Cash flow forecasting and analysis skills

Nice-to-have

  • Advanced Excel and PowerPoint skills
  • Strong interpersonal and negotiation abilities
  • Experience with LIBOR transition projects
  • Power BI automation for reporting
  • MBA in Finance or Accounting preferred

Key Requirements

  • Masters in Finance, Accounting, or Business
  • Recognised Treasury/Accounting qualification (CertITM, FRM)
  • 4-5 years practical Treasury front office experience
  • Large international organisation experience required

Work Rights

Not specified

Tailored Resume

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