Treasury Analyst: Cash Flow, Forecasting & Analytics
Location
ajman, ajman
Job Type
Full-time
Category
Other-General
Posted
May 31, 2026
A multinational company in the United Arab Emirates is seeking a Finance/Treasury professional to support cash management, forecasting, and reporting activities. The ideal candidate will have a Bachelor's degree in finance or related fields, alongside 3–6 years of relevant experience. Strong analytical skills, proficiency in Excel and familiarity with automation tools like Power BI or SAP are essential. This dynamic role contributes directly to financial operations, requiring proactive and detail-oriented individuals. Fluency in English is a must, with Arabic as a plus.
#J-18808-Ljbffr
#J-18808-Ljbffr