Responsibilities:
A. Investments:
- Assist in the development and review of portfolio management and reallocation strategies to maximize investment returns.
- Perform financial analysis, valuation, Excel modeling, and assess the financial condition of the investment portfolio.
- Prepare internal investment updates, reports, and memos, as needed.
- Assist in the preparation of investment policies and procedures.
B. Management of cash flow requirement:
- Monitor money market movements and optimize returns on placements.
- Continuously review the Group’s requirements for long-term funding and its availability and make appropriate recommendations.
- Review and recommend new treasury products that align with the Group’s objectives of strengthening the breadth and depth of its funding base.
C. Management of currency requirement:
- Monitor and manage currency balances in bank accounts to align with the Group’s operational needs.
- Address foreign currency requirements as they arise from insurance and investment operations.
Experience:
A minimum of 10 years of experience in Treasury and Investments within a major bank or insurance company, including at least 5 years in a managerial role.
Qualifications:
A Minimum of a bachelor’s degree in Business Administration or Economics is required, with a preference for a postgraduate degree (MBA) from an accredited university or a professional qualification from a recognized institution.
Key Skills
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- Posted
- Aug 17, 2025
- Type
- Full-time
- Level
- Mid-Senior
- Location
- Doha
- Company
- Confidential
Industries
Categories
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