Treasury Accountant

Posted 12 Days Ago
Be an Early Applicant
Abu Dhabi, ARE
In-Office
Mid level
Automotive • Real Estate • Financial Services • Hospitality
The Role
Manage daily cash flow, banking transactions, payments, reconciliations and treasury journal entries. Prepare cash forecasts and treasury reports, support liquidity planning, intercompany transfers, month-end/year-end close, audit support, and compliance. Coordinate with Accounts Payable and Receivables, maintain banking relationships, and recommend process improvements to increase efficiency and control.
Summary Generated by Built In

Al Saqer Property Management (ASPM)

ASPM is a real estate arm of United AlSaqer Group L.L.C.  ASPM manage and lease properties in the emirates of Abu Dhabi, Al Ain, Dubai and Overseas. Our development projects continue to provide quality residential, commercial and retail space at affordable prices which appeal to a broad range of customers.

Job Summary:

The Treasury Accountant is responsible for managing the company's cash flow, banking activities, and treasury operations within the Property Management division.

The role ensures the efficient utilization of funds, timely execution of payments, accurate financial recording, and compliance with company policies and banking regulations. Working closely with the Accounts Manager and Finance team, the Treasury Accountant supports liquidity management, financial planning, and day-to-day treasury functions to meet operational and project requirements.

Location:

  • Abu Dhabi - Al Bustan

Areas Of Responsibility:

Cash Flow Management

  • Monitor daily cash balances and liquidity.

  • Prepare weekly and monthly cash flow forecasts with the Accounts Manager.

  • Track inflows, outflows, and forecast variances.

  • Support liquidity planning and funding needs.

Banking & Treasury Operations

  • Manage daily banking transactions, transfers, deposits, withdrawals, and online banking.

  • Prepare payment instructions and ensure approvals.

  • Maintain banking relationships and account administration.

  • Process intercompany transfers and monitor settlements.

Payments & Financial Transactions

  • Coordinate vendor and supplier payments with Accounts Payable.

  • Record treasury journal entries accurately.

  • Ensure timely payment execution and cash availability.

Reconciliation & Financial Reporting

  • Perform bank reconciliations and resolve discrepancies.

  • Prepare treasury reports, cash movement summaries, and fund utilization reports.

  • Support month-end and year-end closing activities.

Compliance & Internal Controls

  • Ensure compliance with company policies, controls, and authority limits.

  • Follow banking regulations and governance requirements.

  • Maintain records and support audits.

Financial Support & Process Improvement

  • Coordinate with Accounts Receivable on collections and cash receipts.

  • Support budgeting, forecasting, and cash planning.

  • Recommend process improvements, efficiency gains, and cost reductions.

Technical Skills

  • Treasury operations, cash flow management, banking procedures, and financial controls.

  • ERP/accounting systems and online banking platforms.

  • Cash forecasting, bank reconciliations, fund transfers, and payment processing.

  • Financial reporting, audit support, and compliance.

Core Competencies

  • Strong analytical, numerical, and problem-solving skills.

  • High integrity, confidentiality, and accountability.

  • Strong organization and time management.

  • Effective communication and stakeholder management.

  • Ability to work independently and in a team.

  • Proactive, improvement-focused, and efficient.

Experience

  • 2–4 years of experience in treasury, accounting, or finance, preferably in property management, facilities management, or construction.

Qualifications

  • Bachelor's degree in accounting, Finance, Commerce, or related field.

  • CPA, ACCA, CMA, or CTP is an advantage.

Benefits:
In return, we offer you a path towards your most rewarding career and an opportunity to be part of one of the leading family groups within the UAE. Additionally, we provide a competitive benefits package for all successful candidates.

What will it be like to work for United Al Saqer Group?

Established more than 37 years ago, the United Al Saqer Group (UASG) is one of the leading multi-sector business groups in the United Arab Emirates. The UASG owns and operates a diverse yet complementary portfolio of more than 7 UAE-based companies encompassing a number of key industry sectors, which includes Abu Dhabi Motors, Dalma Motors, Al Saqer Heavy Equipment, Al Saqer Property Management, Awraq Islamic Financial Brokerage, Royal International Construction, and Royal Joinery.

Skills Required

  • 2-4 years experience in treasury, accounting, or finance
  • Experience in property management, facilities management, or construction (preferred)
  • Bachelor's degree in Accounting, Finance, Commerce, or related field
  • Knowledge of treasury operations, cash flow management, banking procedures, and financial controls
  • Proficiency with ERP/accounting systems
  • Familiarity with online banking platforms, payment processing and intercompany transfers
  • Cash forecasting, bank reconciliations, and treasury journal entries experience
  • Audit support and compliance experience
  • CPA, ACCA, CMA, or CTP
Am I A Good Fit?
beta
Get Personalized Job Insights.
Our AI-powered fit analysis compares your resume with a job listing so you know if your skills & experience align.

The Company
4,000 Employees
Year Founded: 1980

What We Do

Established in 1980, United Al Saqer Group (UASG) is a prominent multi-sector business conglomerate and single-family office based in Abu Dhabi, UAE. The group manages a diverse portfolio of companies across key industries, including automotive, construction, real estate, financial services, and hospitality. UASG is committed to achieving sustainable and profitable growth through professional management, innovation, and a focus on superior customer service.

Similar Jobs

CrowdStrike Logo CrowdStrike

Regional Sales Manager

Cloud • Computer Vision • Information Technology • Sales • Security • Cybersecurity
Remote or Hybrid
UAE
11000 Employees

Tufin Logo Tufin

Enterprise Account Executive

Security • Cybersecurity
Remote or Hybrid
United Arab Emirates
500 Employees

CrowdStrike Logo CrowdStrike

Sales Development Representative

Cloud • Computer Vision • Information Technology • Sales • Security • Cybersecurity
Remote or Hybrid
UAE
11000 Employees

Remitly Logo Remitly

Business Operations Manager

eCommerce • Fintech • Payments • Software • Financial Services
In-Office
Abu Dhabi, ARE
2800 Employees

Similar Companies Hiring

Fairly Even Thumbnail
Hardware • Robotics • Sales • Software • Hospitality
New York, NY
30 Employees
Hanover Park Thumbnail
Artificial Intelligence • Fintech • Software • Financial Services
New York, New York
42 Employees
Onshore Thumbnail
Artificial Intelligence • Fintech • Software • Financial Services
New York, New York
60 Employees

Sign up now Access later

Create Free Account

Please log in or sign up to report this job.

Create Free Account