Maintain and foster relationships with banks and alternative funding sources
Manage quarterly reporting for banks and Sukuk issuances, including covenant monitoring and Debt Service Reserve Account (DSRA) management
Contribute to the development of strategic finance initiatives, such as working with rating agencies, M&A opportunities, and exploring financing options
Oversee daily liquidity and cash positioning, ensuring optimal utilization of excess cash
Collaborate with IT, banks, and external vendors to automate cash management processes
Partner with the business team to develop business models and investment memorandums for evaluating CAPEX, acquisition, and divestment projects
Provide project management support for quarterly and annual reporting processes, including the preparation of fact sheets, investor presentations, and half-year/annual reports
Key Requirements
Bachelor’s degree in Finance, Accounting, or a related field
Minimum 3-5 years of experience in banking, treasury, or financial management in the UAE
Strong understanding of liquidity management, cash positioning, and banking processes
Excellent analytical and problem-solving skills
Ability to work collaboratively with cross-functional teams
Experience with financial modeling and reporting tools is an advantage
Strong communication skills and attention to detail
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