69 Financial Risk jobs in the United Arab Emirates
Manager/Senior Manager - Kyriba Treasury & Risk Management - Abu Dhabi
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The opportunity
EY is looking for an Assistant Manager/Manager/Senior Manager to join the FAAS team to lead on complex advisory engagements and support growth of the business.
Your Key Responsibilities
As an Assistant Manager/ Manager/ Senior Manager you’ll be responsible to lead and shape up Kyriba projects, including design, implementation, configuration, and integration of Kyriba modules. Collaborate with cross-functional teams to gather business requirements, contribute to solution design, and provide expertise on Kyriba functionalities.
Analyze and optimize treasury processes, identifying areas for improvement and supporting the implementation of best practices. Own client demonstrations and presentations, highlighting the capabilities and benefits of Kyriba solutions.
Lead in evaluating and assessing vendor solutions, participating in vendor evaluations, and providing recommendations for Kyriba implementation. Contribute to system testing, including creating test scenarios and ensuring successful data migration and validation for Kyriba functionalities. Support the development and delivery of training programs and workshops to enhance end-user understanding and proficiency in Kyriba modules.
Maintain awareness of the latest industry trends, regulations, and advancements in treasury management, and share knowledge and insights with the team. Project management activities, such as project planning, resource allocation, and monitoring project progress. Collaborate with stakeholders to ensure successful implementation, adherence to project timelines, and achievement of project goals. Provide ongoing support and maintenance for Kyriba modules, addressing functional issues and assisting with enhancements as required.
Skills And Attributes For Success
Strong communication and interpersonal skills, enabling effective collaboration with cross-functional teams and stakeholders. Excellent analytical and problem-solving skills, with the ability to effectively troubleshoot and resolve issues. Project involvement experience, including the ability to support multiple projects simultaneously. Ability to work in a team and establish credibility as a trusted advisor to clients.
Understanding of treasury and risk management processes, including cash management, liquidity management, debt management, In-House
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Financial Risk Manager
Posted today
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Role Overview
We are seeking an experienced Financial Risk Manager to join our senior Treasury leadership team. The successful candidate will be responsible for designing and executing the company's financial risk frameworks, ensuring resilience across interest rate, FX, credit, and liquidity risks.
Key Responsibilities
- Develop and embed risk management frameworks, policies, and analytical tools across the group.
- Anticipate and mitigate exposures through effective market monitoring and derivative solutions.
- Provide commercial insights to enhance capital efficiency, optimize investment decisions, and support growth initiatives.
- Build and manage strong banking and advisory relationships to ensure flexible, competitive access to global funding markets.
- Lead initiatives to manage liquidity and optimize cash returns while safeguarding capital.
- Partner with corporate finance on capital structuring and credit rating considerations.
- Deliver clear risk reporting and actionable insights to senior executives and the Board.
- Drive the adoption of modern treasury systems and best practices.
Candidate Profile
- 10+ years' experience in financial risk management within a corporate treasury or multinational environment.
- Expertise in managing FX, interest rate, and liquidity risks, with proven experience in structuring derivatives.
- Strong analytical ability with the gravitas to engage senior stakeholders and external institutions.
- Track record of leadership and cross-functional collaboration.
- Degree in finance, economics, or related discipline; CFA/FRM desirable.
- Fluent in Python, C++ or other coding languages is desirable.
Benefits
- A challenging and rewarding role within a dynamic organization.
- Ongoing training and professional development opportunities.
- The chance to work with a talented team of professionals.
Financial Risk Management
Posted today
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Vice President – Financial Risk Management
Our client is aleading multinational groupwith a diverse portfolio and strong presence across global markets. As part of their ongoing growth and evolution, they are now looking for aVice President – Financial Risk Managementto join their senior Treasury leadership team.
The Role
Reporting into senior Treasury leadership, the VP will oversee the design and execution of the company's financial risk frameworks, ensuring resilience across interest rate, FX, credit, and liquidity risks. The role will combine strategic oversight with hands-on delivery, engaging with both internal stakeholders and external financial partners to drive best-in-class practices.
Key Responsibilities
- Develop and embed risk management frameworks, policies, and analytical tools across the group.
- Anticipate and mitigate exposures through effective market monitoring and derivative solutions.
- Provide commercial insights to enhance capital efficiency, optimize investment decisions, and support growth initiatives.
- Build and manage strong banking and advisory relationships to ensure flexible, competitive access to global funding markets.
- Lead initiatives to manage liquidity and optimize cash returns while safeguarding capital.
- Partner with corporate finance on capital structuring and credit rating considerations.
- Deliver clear risk reporting and actionable insights to senior executives and the Board.
- Drive the adoption of modern treasury systems and best practices.
Candidate Profile
- 10+ years' experience in financial risk management within a corporate treasury or multinational environment.
- Expertise in managing FX, interest rate, and liquidity risks, with proven experience in structuring derivatives.
- Strong analytical ability with the gravitas to engage senior stakeholders and external institutions.
- Track record of leadership and cross-functional collaboration.
- Degree in finance, economics, or related discipline; CFA/FRM desirable.
- Fluent in Python, C++ or other coding languages is desirable.
.
We are also open to candidates looking to relocate to the UAE.
To apply, please submit your CV and cover letter outlining your relevant experience.
Please note that due to the high volume of applications, only shortlisted candidates will be contacted.
We are committed to working in collaboration with forward-thinking businesses to deliver high-performing, sustainable recruitment solutions to assembl.
Compliance Associate Venture search Dubai, United Arab Emirates
FX/Currencies Product Manager (Fintech) - Dubai Venture search Dubai, United Arab Emirates
Boost your career Find thousands of job opportunities by signing up to eFinancialCareers today.#J-18808-LjbffrFinancial Risk Specialist
Posted today
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We are seeking a Financial Risk Professional to join our credit team. The main role of the division is to manage financial and market risks.
- The primary responsibility will be to safeguard assets by conducting quantitative and qualitative assessments of counterparties, proposing risk mitigation strategies, and providing recommendations to management.
- You will collaborate with other areas such as Operations, Sales, and Contracting, requiring excellent interpersonal and communication skills.
Financial Risk Specialist
Posted today
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Job Summary
The successful candidate will be responsible for conducting thorough credit analyses and making informed recommendations to ensure the
Financial Risk Manager
Posted today
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Job Description
Job Description
We are seeking a skilled and experienced credit management professional to join our team in the heavy equipment rental industry.
This role requires a strategic thinker with strong analytical skills, a deep understanding of credit risk management, and the ability to collaborate effectively with cross-functional teams to ensure timely collections and minimize credit risk.
- Credit Management:
- Collect, monitor, and manage customer accounts to ensure prompt
Financial Risk Manager
Posted today
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Job Description
Debt Collection Specialist:
Evaluate and assess customer creditworthiness by analyzing financial statements,
Financial Risk Management
Posted today
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Job Description
Vice President – Financial Risk Management
Location: Abu Dhabi
Our client is aleading multinational groupwith a diverse portfolio and strong presence across global markets. As part of their ongoing growth and evolution, they are now looking for aVice President – Financial Risk Managementto join their senior Treasury leadership team.
The Role
Reporting into senior Treasury leadership, the VP will oversee the design and execution of the company's financial risk frameworks, ensuring resilience across interest rate, FX, credit, and liquidity risks. The role will combine strategic oversight with hands-on delivery, engaging with both internal stakeholders and external financial partners to drive best-in-class practices.
Key Responsibilities
- Develop and embed risk management frameworks, policies, and analytical tools across the group.
- Anticipate and mitigate exposures through effective market monitoring and derivative solutions.
- Provide commercial insights to enhance capital efficiency, optimize investment decisions, and support growth initiatives.
- Build and manage strong banking and advisory relationships to ensure flexible, competitive access to global funding markets.
- Lead initiatives to manage liquidity and optimize cash returns while safeguarding capital.
- Partner with corporate finance on capital structuring and credit rating considerations.
- Deliver clear risk reporting and actionable insights to senior executives and the Board.
- Drive the adoption of modern treasury systems and best practices.
Candidate Profile
- 10+ years' experience in financial risk management within a corporate treasury or multinational environment.
- Expertise in managing FX, interest rate, and liquidity risks, with proven experience in structuring derivatives.
- Strong analytical ability with the gravitas to engage senior stakeholders and external institutions.
- Track record of leadership and cross-functional collaboration.
- Degree in finance, economics, or related discipline; CFA/FRM desirable.
- Fluent in Python, C++ or other coding languages is desirable.
.
We are also open to candidates looking to relocate to the UAE.
To apply, please submit your CV and cover letter outlining your relevant experience.
Please note that due to the high volume of applications, only shortlisted candidates will be contacted.
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Financial Risk Manager
Posted today
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Job Description
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Connecting GRC, Finance, and Operational Talent with the GCC Investment Management & Financial Services marketVice President – Financial Risk Management
Our client is a Abu Dhabi headquartered group with entities trading globally with a diverse portfolio. As part of their ongoing growth and evolution, they are now looking for a Vice President – Financial Risk Management to join their team.
The Role
Reporting into senior Treasury leadership, the VP will oversee the design and execution of the company's financial risk frameworks, ensuring resilience across interest rate, FX, credit, and liquidity risks. The role will combine strategic oversight with hands-on delivery, engaging with both internal stakeholders and external financial partners to drive best-in-class practices.
Key Responsibilities
- Develop and embed risk management frameworks, policies, and analytical tools across the group.
- Anticipate and mitigate exposures through effective market monitoring and derivative solutions.
- Provide commercial insights to enhance capital efficiency, optimize investment decisions, and support growth initiatives.
- Build and manage strong banking and advisory relationships to ensure flexible, competitive access to global funding markets.
- Lead initiatives to manage liquidity and optimize cash returns while safeguarding capital.
- Partner with corporate finance on capital structuring and credit rating considerations.
- Deliver clear risk reporting and actionable insights to senior executives and the Board.
- Drive the adoption of modern treasury systems and best practices.
Candidate Profile
10+ years' experience in financial risk management within a corporate treasury or multinational environment.
- Expertise in managing FX, interest rate, and liquidity risks, with proven experience in structuring derivatives.
- Strong analytical ability with the gravitas to engage senior stakeholders and external institutions.
- Track record of leadership and cross-functional collaboration.
- Degree in finance, economics, or related discipline; CFA/FRM desirable.
- Fluent in Python, C++ or other coding languages is desirable.
We are also open to candidates looking to relocate to the UAE.
To apply, please submit your CV and cover letter outlining your relevant experience.
Please note that due to the high volume of applications, only shortlisted candidates will be contacted.
Seniority level- Seniority level Mid-Senior level
- Employment type Full-time
- Job function General Business, Project Management, and Strategy/Planning
- Industries Investment Management, Financial Services, and Banking
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#J-18808-LjbffrFinancial Risk Examiner
Posted today
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Job Description
Compliance is a critical aspect of ensuring our organization adheres to established internal control procedures. As an auditor, you will be responsible for examining records, reports, operating practices, and documentation to guarantee adherence to these standards.
Key Responsibilities:- Verify assets and liabilities by comparing items to documentation
- Complete audit workpapers by documenting audit tests and findings
- Maintain accurate records and verification of books of accounts
- Collect, check, and analyze spreadsheet data to identify trends and discrepancies
- Examine company accounts and financial control systems to ensure accuracy and reliability
- Evaluate levels of financial risk within organizations and implement corrective measures
- Review financial reports and records to ensure they are accurate and reliable
- Document, review, and interpret data to determine the effectiveness of operations
- Research operational problems or other issues that may impact the organization
- Strong analytical and problem-solving skills
- Attention to detail and organizational skills
- Ability to work independently and as part of a team
- Effective communication and interpersonal skills
- Proficiency in Microsoft Office and accounting software
Our organization offers a competitive salary, comprehensive benefits package, and opportunities for professional growth and development.
Financial Risk Professional
Posted today
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Credit Risk Manager and Financial Analyst
Job Description:The successful candidate will be responsible for identifying and mitigating credit risk, optimizing cash flow, and ensuring adherence to financial policies.
- Manage and mitigate credit risk by analyzing financial data and developing strategies to minimize debt aging.
- Drive efforts to reduce debt aging by implementing efficient cash flow management practices and negotiating with clients to ensure timely payments.
- Develop and maintain relationships within client organizations to aid collections and receipt forecasting accuracy.
- Ensure the highest level of data protection and confidentiality towards all stakeholders.
- Resolve queries internally and externally regarding expected timing for better cash flow.
- Adhere to financial policies and maintain a robust legal process as per regional laws.
- Reconcile SOAs regularly and ensure timely allocation of receipts.
- Take timely actions on SOAs and receipts when requested.
- Implement procedures for overdue payments to collect balances.
- Handle disputed accounts, liaise with Client Managers, and negotiate to align payments with terms.
- Lead discussions with Partners, Client Managers, and Banks to ensure smooth progress.
- Maintain leadership in system integration and migration as required.
- Establish and review credit limits for existing customers.
- Liaise with the wider finance team, providing required information for statutory and internal audits.
- Submit monthly receivables aging reports to the Finance Operation Lead.
- Support additional and ad hoc reports as required by management.
- Review control and reconciliation of receivables to the Balance Sheet monthly.
- Review