أدخل المسمى الوظيفي أو الكلمة الرئيسية

Senior Treasury Accountant – Liquidity & Analytics Perm

PPL Dynamics


موقع الوظيفة:

الدوحة - قطر

الراتب شهرياً: لم يتم تقديمه من قبل صاحب العمل
تم النشر: 6 اكتوبر 2026 (نُشرت قبل 12 ساعة)
آخر موعد للتقديم: 3 يناير 2027
عدد الوظائف الشاغرة: 1 عدد الوظائف الشاغرة

ملخص الوظيفة

Key Responsibilities:

  • Prepare and analyze the daily consolidated fund and liquidity position.
  • Monitor balances across multiple banks accounts and currencies.
  • analyze available balances facilities limits and utilization.
  • Prepare daily weekly and short-term cashflow and liquidity forecasts.
  • analyze expected inflows outflows settlements and operational funding requirements.
  • Forecast currency demand using historical trends and expected business activity.
  • Identify anticipated liquidity shortages and surpluses.
  • Recommend transfers funding allocations and FX actions.
  • analyze branch and operational funding requirements.
  • Monitor correspondent and settlement-bank positions.
  • Prepare the daily morning Treasury report for CFO review.
  • Develop automated Treasury dashboards and management reports.
  • Provide functional guidance to the Treasury Operations Accountant.
  • Monitor compliance with Treasury limits controls and procedures.
  • Convert large volumes of bank and operational data into concise management recommendations within short deadlines.

Required Qualifications and Experience:

  • Bachelors degree in finance Accounting.
  • Certified Management Accountant (CMA) qualification is mandatory or At least Part 1 finished
  • Minimum five years of relevant Treasury or banking experience.
  • Strong practical experience in liquidity management and cash-flow forecasting.
  • Experience managing multiple banks accounts and currencies.
  • Strong understanding of FX positions settlement cycles value dates and banking facilities.
  • Previous experience in an exchange house remittance company bank or regulated financial institution is strongly preferred.
  • Qatar or GCC financial-services experience is an advantage.
  • Advanced Excel skills including complex formulas PivotTables Power Query financial modelling scenario analysis and automated reporting.
  • Advanced Power BI capability including Power Query data modelling DAX measures dashboard development and management reporting.
  • Ability to analyze information and produce reliable recommendations exceptionally quickly.
  • Strong analytical problem-solving and communication skills.
  • Good English report-writing skills.