Treasury & Banking Manager

🏢 AM Group
📍 Cairo, EgyptFull-timeOn-site
📅 Posted: 1mo ago🔄 Updated: 1mo ago
CV%
✨ AI Summary
The Treasury & Banking Manager will be responsible for developing and implementing the Group's cash and liquidity management strategy, managing cash flow across all entities, and preparing cash flow forecasts. This role involves building and maintaining strong relationships with banks, negotiating credit facilities, and managing loans and financing obligations. The manager will also partner with Procurement and Supply Chain teams, oversee export-related cash flows, monitor working capital, ensure compliance with financial policies, and manage trade finance activities. The position requires assessing liquidity, interest rate, and foreign exchange risks and recommending mitigation strategies.
Required Skills
Information Technology
ERPMicrosoft Dynamics 365
Productivity & Workplace Tools
ExcelOutlook
Soft Skills & Professional Competencies
PlanningOrganizationAnalytical SkillsProblem SolvingDecision MakingNegotiationStakeholder ManagementRelationship Building
Other
results-oriented
Finance, Legal & Governance
Financial ReportingTreasury ManagementFinancial Analysis
Hospitality, Retail & Customer Service
Baking
Engineering, Construction & Trades
Manufacturing Processes
Requirements
10–12 years of experience in Treasury and Corporate Finance.Previous experience within FMCG or food manufacturing companies is strongly preferred.Experience working within a multi-entity or group structure is an advantage.Cash Flow ManagementWorking Capital ManagementFinancial Risk ManagementTrade FinanceERP Systems (Microsoft Dynamics AX preferred)Advanced Microsoft Excel and Outlook skillsPlanning and organizational skillsStrong analytical and problem-solving abilitiesDecision-making skillsNegotiation and stakeholder managementRelationship buildingResults-oriented mindset
Description
Develop and implement the Group's cash and liquidity management strategy in alignment with business and operational objectives.Manage cash flow across all Group entities to ensure timely funding of operational, production, and investment requirements.Prepare and maintain short-, medium-, and long-term cash flow forecasts to support financial planning and strategic decision-making.Build and maintain strong relationships with banks and financial institutions to secure the best banking services and facilities.Negotiate credit facilities, financing arrangements, and banking terms to optimize funding costs and maximize financial returns.Manage the Group's loans and financing obligations, ensuring compliance with financing agreements and repayment schedules.Partner with Procurement and Supply Chain teams to ensure sufficient liquidity for raw material imports and supplier payments.Oversee export-related cash flows and foreign currency collections to maintain a healthy liquidity position.Monitor working capital performance and recommend initiatives to improve the cash conversion cycle.Ensure all payment and collection activities comply with approved financial policies, internal controls, and authorization matrices.Review bank reconciliations and ensure timely resolution of any discrepancies.Assess liquidity, interest rate, and foreign exchange risks, and recommend appropriate mitigation strategies.Oversee trade finance activities, including letters of credit (LCs), letters of guarantee (LGs), and other trade finance instruments to support business continuity.
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🎯 Overalli74%
⚡ Skillsi85%
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Ontology Match: 85.0
Matched:✓ Requirements Matching✓ Ontology Skills Mapping
📜 Eligibilityi49%
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Local: 19600%
🏗️ Career Fiti91%
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Seniority: 91.0
📋 Requirementsi67%
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Domain: 67.0
🔥 Motivationi78%
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Title Fit: 78.00