🌿 Back to all jobs

🥝 Treasury Manager: Cash Flow & Banking Operations

GMG | dubai, United-Arab-Emirates | Posted June 11, 2026

Job Description

A global well-being company in Dubai is looking for a Treasury Operations Manager. This role involves managing cash liquidity, coordinating with banks, and preparing treasury reports. The ideal candidate should have over 5 years of experience in treasury operations, preferably in the retail or consumer-facing industry. A professional qualification such as ACCA, CPA, or ACA is essential. Strong understanding of cash flow forecasting and treasury controls is required.
#J-18808-Ljbffr

Apply for This Position

Submit Application