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Treasury Manager, Bahrain 
About the Client My client is a Government owned organisation in the Oil and Gas Industry who are looking to develop their Treasury Department in Bahrain. You can be one of the chosen few who are experts in the treasury arena. 
Treasury Manager Reporting to the CFO, the chosen candidate will be required to  establish and maintain a full-fledged treasury function. 
Role Description 
• Develop, review and monitor cash flow forecasts ensuring that the Company's cash flow is adequate to allow it to operate efficiently 
• Manage all cash management functions including cash concentration, wires, account funding etc. 
• Ensure adequate liquidity for working capital needs and manage investment of short term excess cash
• Manage foreign exchange, commodity exposures etc. in line with the Corporate framework 
• Evaluate, develop and implement cash management systems to optimize efficiencies, including new technologies, products and services to improve cash cycle etc.
• Manage short term and long term funding requirements. 
• Manage and demonstrate compliance with all covenants on external loan agreements
• Maintain, review and monitor comprehensive counter party credit risk / limit policies and procedures 
• Develop, maintain and manage relationships with Financial Institutions and key service providers 
• Forecasting the impact of future events etc. on the Company's covenant position 
• Maintain robust treasury controls and procedures, developing risk and controls matrix and associated process documentation 
• Develop and test appropriate business continuity procedures for treasury operations 
• Development and improvement of existing processes around compliance reporting 
• Ownership and development of treasury reporting The Successful Applicant
• Experience in cash management and funding 
• Strong analytical, financial and system related skills
• Strong management skills with the ability to lead cohesive and productive teams.
• Strong interpersonal skills with the ability to communicate at all levels of the organization with diplomacy and tact.
• Good understanding of corporate risk management techniques 
• Strong IT skills with experience in development, testing and roll out of treasury systems Requirements 
• Degree in Finance/Accounting 
• Professional Qualification (CA, CPA and/or Treasury related professional qualifications) is essential. 
• Minimum 7 years managerial experience with large international businesses, specifically within group treasury function (Oil and Gas Industry knowledge and/or experience would be an advantage) 
• Additional Qualification in Risk Management (preferable) 
Please send Word CVs and cover letters to
Only shortlisted candidates will be contacted. 
For further details on these vacancies or for more information on our services please contact us on +973 17565363 or email a Word format CV to one of our experienced consultants at
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1 comment:

  1. Dear Buyer/ Buyer mandate
    We have Available FOB Rotterdam for JP54,D2, D6, JetA1 with good and workable procedure,whereby buyer will dip test in seller tank
    Kindly Contact us via ( for SCO.

    Usmanov Alexie
    skype: usmanovoilandgas


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