Job Description


Key Responsibilities






§
Support daily
cash management activities and cash position
reporting.



§
Assist in
forecasting cash flows and monitoring bank transactions.



§
Maintain
banking records and support treasury documentation and compliance.



§
Perform Bank
reconciliation checks and coordinate with other teams for routine requests
pertaining to Treasury function.



§ Support preparation of treasury-related
schedules for internal management and for Senior leadership.









§ Handle ad-hoc tasks as assigned
by the line manager, including urgent fund
transfer processing, cash flow
data extraction, banking documentation updates
etc.





Qualifications



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