Treasury Manager

Company: Cooper Fitch
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Job Description:

Location

This role is 100% based in Abu Dhabi, relocation is mandatory for this position.

Responsibilities

  • Manage the execution of domestic and international payments, including wire transfers and electronic payment methods.
  • Perform regular bank reconciliations to ensure accuracy and completeness of cash movements.

Trade Settlement & Confirmations

  • Oversee the settlement process for cash placements and treasury transactions, including FX and interest rate trades.
  • Coordinate confirmations and matching with banking counterparties to ensure transactions are processed correctly.
  • Ensure all treasury trades are accurately recorded and settled within agreed timelines.

Cash Flow & Liquidity Oversight

  • Track daily cash balances and liquidity positions to support ongoing business operations.
  • Build and maintain short- and medium-term cash flow forecasts to support planning and decision-making.
  • Reconcile bank balances against internal systems and investigate variances where required.

Banking & Custodian Relationship Administration

  • Maintain up-to-date records for bank and custodian accounts, including authorised signatories and system access.
  • Manage account administration activities such as opening, closing, and maintaining banking relationships.

Treasury Reporting

  • Prepare regular treasury and management reports covering cash positions, forecasts, counterparty exposure, and FX/interest rate risk.
  • Track treasury-related performance indicators, including banking costs and service efficiency.

Governance & Controls

  • Ensure treasury activities are carried out in line with internal policies, regulatory requirements, and best practice standards.

Seniority Level

Mid-Senior level

Employment Type

Full-time

Job Function

Accounting/Auditing and Finance

Industries

Investment Management and Investment Banking

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Posted: April 11th, 2026