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Treasury & FX Specialist

We are looking for a Treasury & FX Accountant to join our team in Dubai. The ideal candidate will have hands-on experience in foreign exchange, treasury operations, financial reconciliations and account monitoring, with a strong understanding of FX rates and currency exposure.

Key Responsibilities

  • Monitor and analyze foreign exchange rates and currency movements.
  • Calculate and adjust FX rates based on internal pricing parameters and margins.
  • Handle and monitor FX transactions, including spot transactions.
  • Understand and support FX hedging, currency exposure and forward transactions.
  • Monitor treasury activities, fund movements and bank balances.
  • Prepare and maintain Statements of Account and financial records.
  • Perform regular bank, account and transaction reconciliations.
  • Monitor settlements and outstanding transactions and investigate discrepancies.
  • Coordinate with banks and relevant internal/external parties regarding transfers, settlements and treasury matters.
  • Maintain accurate treasury reports and supporting documentation.
  • Ensure rates, calculations and transaction details are accurately verified.

Requirements

  • Previous experience in Treasury, Foreign Exchange, Banking or a similar finance role.
  • Strong understanding of FX rates, currency pairs, spreads/margins and FX calculations.
  • Knowledge of FX spot transactions, hedging and forward contracts.
  • Experience with Statements of Account and reconciliations.
  • Strong Excel skills and numerical ability.
  • Excellent attention to detail and accuracy.
  • Ability to work efficiently in a fast-paced environment.
  • Strong English communication skills.

Location: Dubai, UAE

Position: Full-time, On-site

Job Details

Posted Date:2026-09-28
Job Location:United Arab Emirates – Dubai
Company Industry:Accounting

Preferred Candidate

Suite de l’annonce…