
Majid Al Futtaim
Manager, Treasury β Funding & Investor Relations
- Permanent
- Dubai, United Arab Emirates
- Experience 2 - 5 yrs
Job expiry date: 25/04/2026
Job overview
Date posted
11/03/2026
Location
Dubai, United Arab Emirates
Salary
AED 20,000 - 30,000 per month
Compensation
Job description
The Manager, Treasury β Funding & Investor Relations within the Holding Finance function at Majid Al Futtaim is responsible for identifying and analysing funding needs across Group companies and arranging appropriate financing solutions at both Group and Operating Company levels. The role supports the development and execution of capital markets programmes and debt issuances while ensuring robust treasury operations and investor relations activities. Key responsibilities include analysing funding requirements based on business plans, structuring and negotiating credit facilities with banks in coordination with Legal and internal stakeholders, and supporting capital markets programme updates and related funding initiatives. The position prepares and maintains investor presentations, rating agency materials, and broader financial communications while managing relationships with lenders and credit rating agencies. The role also oversees lender and listing compliance reporting, ensuring timely preparation and submission of compliance certificates, financial statements, and regulatory disclosures. In addition, the position coordinates closely with Corporate Communications on financial results announcements, press releases, and annual reports. The Manager contributes to the development and enhancement of treasury policies, procedures, governance frameworks, and ESG-aligned funding initiatives, while ensuring accurate treasury and capital markets deliverables through collaboration with banks and internal stakeholders. The role requires strong expertise in Corporate Treasury, Debt Advisory, Capital Markets, funding structures, credit facilities, capital markets programmes, covenant reporting, regulatory disclosures, financial statements, investor presentations, financial communications, and engagement with credit rating agencies.
Required skills
Key responsibilities
- Analyze funding requirements across Group companies based on business plans and propose appropriate financing solutions at Group and Operating Company levels
- Structure and negotiate credit facilities with banks in coordination with Legal and relevant internal stakeholders
- Support capital markets programme updates, debt issuances, and related funding initiatives
- Prepare and update investor presentations, rating agency materials, and financial communications for stakeholders and credit rating agencies
- Manage ongoing relationships with lenders and credit rating agencies including quarterly and annual reporting requirements
- Ensure timely preparation and submission of compliance certificates, financial statements, covenant reporting, and regulatory disclosures
- Coordinate with Corporate Communications on financial results announcements, press releases, and annual reports
- Contribute to treasury policies, procedures, governance frameworks, and ESG-aligned funding initiatives
Experience & skills
- Bachelorβs degree in Finance, Accounting, Economics, or related discipline with ACT (Association of Corporate Treasurers) certification strongly preferred
- Possess 3β5 years of experience in Corporate Treasury, Debt Advisory, Capital Markets, or similar finance function
- Demonstrate strong understanding of funding structures, credit facilities, capital markets programmes, and lender compliance requirements
- Apply analytical capability to assess funding needs, interpret financial data, and manage covenant reporting and financial analysis
- Engage effectively with banks, credit rating agencies, and internal teams through strong stakeholder management and communication
- Operate as a detail-oriented professional with project management capability in a dynamic, multicultural environment