بُشراك BUSHRAK

Senior Manager - Treasury

مدير أول - الخزينة

OMRAN Group · سلطنة عُمان

  • مصدر رسمي
  • Regular Employee
  • آخر موعد للتقديم

بُشراك لا تستقبل الطلبات ولا توظّف — التقديم يتم لدى الجهة المعلنة نفسها.

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ملخص الوظيفة

  • المسمى الوظيفي: مدير أول للخزينة في مجموعة عُمران.
  • يتولى تطوير وتنفيذ استراتيجية الخزينة، وإدارة السيولة والتمويل والديون والمخاطر المالية والعلاقات المصرفية.
  • يشرف على فريق الخزينة والسياسات والضوابط والتقارير والعمليات النقدية في المجموعة والشركات التابعة.
  • يشترط بكالوريوس في المالية أو المحاسبة أو إدارة الأعمال أو الاقتصاد أو تخصص ذي صلة، وخبرة لا تقل عن 10 سنوات، منها 4 سنوات في دور إداري.
  • تشمل المتطلبات خبرة في إدارة السيولة والتمويل والتحوط والاستثمارات النقدية، وإتقان وحدات خزينة Oracle ERP ومنصات الخدمات المصرفية الإلكترونية.

ملخص من إعداد بُشراك لنص الإعلان أدناه. النص الأصلي من الجهة المعلنة هو المرجع.

تفاصيل الوظيفة

Responsibilities Strategic Contribution Lead the development and execution of OMRAN Group's treasury strategy and annual plans, ensuring alignment with the Finance strategy, business priorities and shareholder requirements.Advise the CFO and senior management on liquidity, funding, capital structure, investment, banking and financial risk matters to support sound business decisions. Leadership & People Lead, coach and develop the Treasury team, set clear objectives, manage performance and build the capabilities required to meet current and future business needs.Promote accountability, collaboration, continuous improvement and high standards of professional conduct across the function. Policies, Systems, Processes & Procedures Establish, implement and continuously enhance treasury policies, procedures, controls and operating standards covering cash, debt, investments, banking, hedging, guarantees and financial risk management.Ensure compliance with OIA requirements, OMRAN's Delegation of Authority, applicable laws and regulations, IFRS, financing agreements and internal and external audit requirements. Liquidity, Funding & Debt Management Direct Group-wide short- and long-term cash flow forecasts:Consolidate funding needs and maintain liquidity for operational, investment and debt-service obligations.Review forecast variances and direct corrective measures to improve accuracy and cash utilization.Develop and manage the annual debt and funding plan:Recommend optimal funding, financing and refinancing structures for OMRAN, subsidiaries and SPVs.Lead financing negotiations and monitor pricing, covenants, maturities, security, guarantees and repayments. Financial Risk & Hedging Oversee the identification, measurement and management of liquidity, interest-rate, foreign-exchange and counterparty risks.Recommend and execute approved hedging strategies with qualified counterparties in line with policy and delegated authority.Ensure complete transaction documentation, mark-to-market valuations, hedge-effectiveness testing and IFRS-compliant accounting. Reporting Provide timely dashboards and reports on cash forecasts, debt, exposures and covenants to the CFO, management, OIA and other stakeholders.Maintain reliable treasury records and resolve material variances, exceptions and audit observations. Operational Treasury Operations & Cash Management Oversee daily cash positioning, payment funding, collections visibility, intercompany funding and liquidity deployment across OMRAN and its subsidiaries.Optimize returns on surplus cash through approved deposits and investment instruments while managing liquidity needs, concentration limits and counterparty exposure.Ensure treasury transactions are executed accurately, securely and within approved mandates, limits and cut-off times. Banking & Financial Institutions Own senior relationships with banks, lenders and financial institutions and negotiate competitive pricing, facilities, service levels and treasury solutions.Oversee bank account structures, mandates, signatories, online banking access, bank guarantees and related operating instructions.Periodically benchmark bank fees, returns and service quality and implement improvements that create value for OMRAN. Subsidiaries & SPVs Lead treasury oversight and provide guidance on funding, liquidity, debt, cash investment and banking requirements for subsidiaries and SPVs.Establish consistent Group treasury standards and consolidated visibility of cash, debt, guarantees and financial exposures. Systems, Controls & Continuous ImprovementLead the effective use and enhancement of Oracle ERP treasury modules, online banking platforms, interfaces, automation and management information reporting.Maintain robust segregation of duties, authorization controls, reconciliations, data integrity, audit trails and business-continuity arrangements for treasury operations.Identify and implement process, technology and control improvements that enhance efficiency, security, visibility and decision-making. Education & Experience Bachelor's degree in Finance, Accounting, Business Administration, Economics or a related discipline.A minimum of 10 years of relevant experience in corporate treasury, banking or finance, including at least 4 years in a managerial role with progressively increasing responsibility.Demonstrated experience in liquidity management, debt and funding arrangements, financial risk and hedging, cash investments and senior banking relationships.Strong experience with Oracle ERP treasury modules, online banking platforms and treasury reporting and analytical tools.Experience working with external auditors, shareholders and national or international financial institutions.A master's degree or relevant professional qualification such as CTP, ACT, CFA, ACCA or CMA is preferred.

المتطلبات

المؤهل العلمي
Bachelor's Degree
الإبلاغ عن مشكلة في هذه الوظيفة

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