Treasury Manager
Dubai | Finance | Multi-Industry Group
To manage the Group's treasury function, ensuring optimal cash flow, liquidity management, banking relationships, funding requirements, and financial risk management across all subsidiaries and business units. The Group Finance Operating Model will be responsible for maintaining adequate liquidity, maximizing cash utilization, overseeing banking operations, and supporting strategic financial initiatives of the Holding Group.
تاريخ الإغلاق: 31 December 2026