Group Treasury Manager – Centralised Cash Management

July 28, 2026

Job Overview

  • Date Posted
    July 28, 2026
  • Location
  • Expiration date
    October 28, 2026

Job Description

  • Anywhere

Job Description

Job Title: Group Treasury Manager – Centralised Cash Management

Job Description: As a Group Treasury Manager for Centralised Cash Management, FX, and Liquidity at a UAE group, you will apply senior treasury management expertise — centralising cash management, optimising FX hedging, and governing liquidity across a multi-entity UAE group’s treasury function.

Responsibilities:

  • Apply senior treasury management expertise to centralised cash management, FX hedging, and liquidity governance
  • Lead the group treasury function — cash pooling, intercompany lending, and banking administration
  • Develop and maintain FX hedging strategies and liquidity management frameworks across all group entities
  • Manage group banking relationships — credit facilities, account management, and treasury technology
  • Ensure UAE and applicable regulatory treasury compliance across all group financial operations
  • Produce group treasury management reports and management information for Board-level governance review
  • Coordinate with Finance, Banking Partners, and Operations teams on group treasury delivery
  • Monitor global FX, interest rate, and treasury technology developments for group strategy optimization

Qualifications Needed:

  • Proven Group Treasury Manager experience with centralised cash management and FX hedging background
  • Strong cash pooling, FX hedging, intercompany lending, and group banking administration expertise
  • ACT/CTP, ACA, ACCA, or equivalent qualification required for Group Treasury Manager mandate
  • Deep understanding of UAE banking regulatory requirements for group treasury and cash management
  • Excellent leadership, banking partner management, and Board-level treasury governance communication
  • GCC multi-entity group treasury management experience strongly preferred

What the Company Offers:

  • Group Treasury Manager Centralised Cash Management FX and Liquidity UAE Group role
  • Group treasury leadership mandate centralising cash management, optimising FX hedging, and governing multi-entity liquidity for a professionally managed UAE group organization

Are you interested in this position? Apply by clicking on the “Apply Now” button below!

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