Go Back

Project Details

Consultant - Corporate Treasury

A leading management consulting firm

 Abu Dhabi, Doha, Dubai, Jeddah, Kuwait City, Manama, Muscat, Riyadh, Cairo

Posted on:  8/10/2021

Cinque Terre

Starts on:  30/10/2021




Mergers & acquisitions advisory, Accounting, Audit, Financial planning and analysis, Treasury (incl. working capital management), Budgeting, Company secretary, Investor relations, Valuations & business modelling, Data analytics, Credit and risk analysis, Equity research and analysis, Cost Accounting, Project Cost Management, Compliance,


Professional services - Finance & Accounting

Company Details

A leading management consulting firm

Assignment Details

Our client, a global management consulting firm, is looking to engage with a Corporate Treasury Consultant who will support the team in leading the centralization implementation project.

Key Deliverables:

1. Responsible for financial resource management and asset liability management
to facilitate firm activity at the lowest cost possible.
2. Working closely with team in driving Resource allocation, funding planning and
origination, asset liability management, trading execution, liquidity projections
3. Understand and project drivers of firm liquidity both short term and long term
4. Empower various stakeholders to more efficiently manage and be accountable for
their impact
5. Incentivize businesses to manage and communicate liquidity footprint
6. Design and implement strategic and analytical tools for managing the firm’s
balance sheet and funding resource consumption

Note: The project is based out of Riyadh. A full time support would be required for around 7 months.

Skills Required

1. Hands on experience of working with leading firm in Corporate treasury role
2. Strong expertise across:
-Cash management, forecasting
-Cash investment/FX
-Capital structure
-Financial risk management
3. Strong interpersonal and communication (written and verbal) skills
4. Strong analytical skills and aptitude with numbers – data analytics and
database query skills preferred
5. Advanced Excel and PowerPoint skills
6. Project management experience a plus
7. Self-motivated team player with the ability to adapt in a dynamic and changing

Assignment Duration

7 month(s)

Capacity Required

Full Time

No. of Positions


Nature of Work


Profile Requirements

Experience: 10+ years

Qualification : Post Graduate or Higher

fleXpertise required

Cash forecastingCash Management ServicesTreasuryConsultantCFAFinancial RiskRisk ManagementTelecomManagement ConsultantCash managementCorporate treasuryFinance


- | Terms of use | Privacy policy | Contact us
©2018 Flexing It® Services Private Limited. All Rights Reserved.

This website uses cookies to ensure you get the best experience on our website. By continuing to use this site, you agree to our cookie policy. Accept