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Cashflow specialist
Job Overview
Cash Flow Forecasting & Management: Lead short- and long-term cash flow projections, monitoring daily liquidity to ensure optimal allocation of funds across multiple currencies and entities. Trade Finance Operations: Handle complex trade finance instruments, including Letters of Credit (LCs), Bank Guarantees (BGs), and Trust Receipts (TR) end-to-end. Working Capital Optimization: Drive initiatives for Accounts Payable (AP) and Accounts Receivable (AR) management to accelerate cash conversion cycles. AR Discounting & Supply Chain Finance: Manage invoice discounting, factoring facilities, and supplier financing programs to maximize liquidity. Bank Relations: Maintain robust relationships with corporate banking partners to secure favorable financing terms, credit lines, and competitive FX rates. Risk Management: Monitor currency exposure, interest rate fluctuations, and counterparty risks inherent in global trading operations. Desired Candidate Profile
Experience
6 to 15 years of hands-on treasury operations, cashflow management, or corporate finance experience within a Trading or Manufacturing firm.
Education
Bachelor’s or Master’s degree in Finance, Accounting, Economics, or a related field (Professional certifications like CFA, ACT, or CPA are a strong plus). Technical Expertise: Deep working knowledge of CashFlow tools, TR (Trust Receipts), Letters of Credit (LC), AP/AR optimization, and invoice/AR discounting. Software
Skills
- Proficiency in ERP systems (SAP, Oracle, etc.) and advanced Excel modeling
- Competencies: Strong analytical mindset, excellent negotiation skills, and a proven track record of managing high-volume working capital in a fast-paced environment
- Employment Type Full-time
Keywords
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- CompanyConfidential Company
- LocationDubai, UAE
- CategoryBackend
- SourceNaukrigulf
- Listed1 month ago
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