We are seeking trustworthy candidates who work efficiently without sacrificing accuracy.
Liquidity management for the organization
Managing and reporting on the Foreign currency exposure of the organization
Processing foreign currency payments
Conducting scenario and risk analysis
Forecasting of medium and long- term funding and hedging requirements where applicable
Daily cash management and debt facilities reporting
Interest rate risk management
Development of risk mitigation strategies, including foreign exchange risk strategies
Preparation of management reports
Liaison with senior management across the organisation
Support the month end process where necessary
ملحوظة هامة:
وظايف نت ليست شركة توظيف وانما موقع للاعلان عن الوظائف الخالية المتاحة يوميا فى أغلب الشركات بالشرق الاوسط
,فنرجو توخى الحذر خاصة عند دفع اى مبالغ او فيزا او اى عمولات. والموقع غير مسؤول عن اى تعاملات تحدث من خلال الوظائف المعلنة.