
Property Finder
Assistant Manager ā Treasury & Working Capital
- Permanent
- Dubai, United Arab Emirates
- Experience 5 - 10 yrs
- Urgent
Report job as expired
Job expiry date: 03/07/2025
Job overview
Date posted
19/05/2025
Location
Dubai, United Arab Emirates
Salary
AED 20,000 - 30,000 per month
Experience
5 - 10 yrs
Seniority
Manager
Qualification
Bachelors degree
Expiration date
03/07/2025
Job description
Property Finder, the MENA regionās leading real estate technology platform, is seeking a dynamic Assistant Manager ā Treasury & Working Capital to join its high-performing finance team. This key role involves managing short- and long-term liquidity strategies, optimizing cash flow operations, overseeing banking relationships, and contributing to treasury governance and risk control. The ideal candidate will bring financial acumen, a solution-oriented mindset, and a track record in treasury and working capital initiatives to support Property Finderās ambitious growth in the digital real estate space.
Required skills
Key responsibilities
- Advise finance leadership on liquidity planning for both short and long-term requirements.
- Design and implement forex hedging policies to mitigate financial risk.
- Optimize cash management structure and provide strategic recommendations for working capital improvements.
- Establish treasury policies and procedures in line with regulatory compliance.
- Manage domestic and international banking relationships, contracts, and signatories.
- Execute daily banking transactions and net banking operations across partners.
- Forecast business cash flows in collaboration with budgeting and planning teams.
- Ensure adequate funding for operational and capital expenditures.
- Deliver accurate, periodic reporting on cash utilization and forecasting.
- Support month-end close processes and external financial audits.
Experience & skills
- Bachelorās degree in finance, accounting, or a related field (Masterās or certifications are a plus).
- Minimum of 4 years of experience in treasury, finance, or forecasting roles.
- Proficiency in financial modeling, forecasting, and cash flow analysis.
- Strong understanding of banking platforms and treasury management systems.
- Experience managing global and domestic banking operations.
- Knowledge of risk management, financial instruments, and regulatory compliance.
- Exceptional attention to detail, accuracy, and organizational skills.
- Strong interpersonal and communication abilities for cross-functional collaboration.