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- Summary The Treasury Specialist is responsible for supporting the organization’s treasury operations, including cash management, banking relationships, liquidity forecasting, and financial risk management. This role ensures optimal utilization of cash resources...
- ...Pakistan Last Date to Apply: 25th July 2025 What is Manager Treasury? The Manager Treasury is responsible for ensuring effective... .... Debt & Investment Management Manage the corporate debt portfolio, including borrowings, repayment schedules, covenant...
- ...Create short-form promotional videos highlighting services/products for websites, social media, and sales enablement. o Cover corporate events (conferences, product launches, town halls), deliver highlight reels, live snippets, and recap films. o Capture...
- Create informative and interesting press releases, press kits, newsletters, and related marketing materials. Develop and implement effective communication strategies that build customer loyalty programs, brand awareness, and customer satisfaction. Prepare detailed media...
- We are looking for an ambitious and energetic Business Development Manager to help us expand our clientele. You will be the front of the company and will have the dedication to create and apply an effective sales strategy. Responsibilities Develop a growth strategy ...
- Looking for Corporate Strategy Development Manager preferable with UAE experience. Should be ready to relocate to Dubai REQUIREMENTS Experience: 3 years minimum . Nationality: indian preferred PROVISIONS Transport provided Salary: Negotiable
- Corporate Strategy Development Manager required urgently. REQUIREMENTS Experience in customer support is a plus Proficiency in MS Office and CRM software (e.g. Salesforce) Proficiency in English Market knowledge Communication and negotiation skills Ability...
- ...A Communications Manager, or Corporate Communications Manager, is responsible for overseeing the implementation of both internal and external communication strategies. Their duties include managing external communication channels like social media platforms, company websites...
- Corporate Strategy Development Manager required. REQUIREMENTS Experience: at least 1 year PROVISIONS Residence visa provided . Medical insurance Salary: Negotiable
- Corporate Strategy Development Manager required. Should be ready to relocate to Abu Dhabi REQUIREMENTS Nationality: arabic preferred PROVISIONS Employment visa provided Salary: Negotiable
- ...may acquire a livelihood, skills and support they need to reach their full potential. Description Job Title: Deputy Manager Corporate Location: Islamabad Experience: 4 to 5 years Experience in the Banking, Financial Firms, Investment Banks, Security &...
- Hiring now: Corporate Strategy Development Manager REQUIREMENTS Experience: 3 - 5 years Salary: Negotiable
- ...We are seeking a dynamic and results-driven Assistant Manager – Corporate Sales to join our team. The ideal candidate will have proven experience in managing B2B corporate accounts, particularly in large-scale residential projects , and will be responsible for achieving...
- ...Deliver communications plans against Backup business plans activity. • Organize international media events • Strategic planning and cross-functional coordination at Senior level REQUIREMENTS Corporate communication cum EA Travel mandatory 50% Salary: Negotiable
- ...Grade Level: L3 Location: Nationwide (Karachi/Lahore/Islamabad) Last date to apply: July 22nd 2025 What is Regional Corporate Account Manager? The Regional Corporate Account Manager is a customer-centric leadership role focused on strengthening client...
- Corporate Strategy Development Manager required. Should be ready to relocate to Al Ain REQUIREMENTS Experience: 5 years minimum PROVISIONS Employment visa provided Salary: Negotiable
- ...Job Title: Senior Manager – Corporate Relationship & Business Development Placement Office: Kharian, Pakistan. Job Type : Full-time, Permanent. About Us ACE Money Transfer is a UK-based multinational company headquartered in Manchester, United Kingdom. We...
- ...grow our GCR client base in the region. You are also expected to support GCR proposals by providing assistance on fee gathering for corporate income tax, indirect tax, statutory accounts preparation, and bookkeeping. Skills and attributes for success If you are...
- ...technology firm. Experience in taxation-related matters (corporate tax, withholding tax filling, sale tax, income tax) Experience... ...Experience in managing accounts receivable and payable. Treasury management SECP compliances Expertise in Quickbooks,...
- ...including working capital management and debt financing. ~Treasury & Cash Management: ~Oversee cash flow management, ensuring efficient... ...management. ~Ensure adherence to regulatory requirements and corporate governance practices in all banking-related activities. ~...
- ...default swaps, and other complex financial instruments. Provide expertise in valuing various financial instruments, such as corporate bonds, treasury bills, debt securities, loan interest, and equity securities. Assess and document hedge effectiveness for different...
- ...including: month and end-year process accounts payable/receivable cash receipts general ledger payroll and utilities treasury, budgeting cash forecasting revenue and expenditure variance analysis capital assets reconciliations trust account statement...
- ...annual financial reports for CFO and Higher Management. Monitor daily cash positions, manage working capital cycles, and support treasury functions to ensure liquidity and cost efficiency. Ensure compliance with internal financial policies, regulatory standards,...
- ...financial income on monthly basis for management reporting. - Prepare and update monthly agility reports. - Coordination with treasury and remittance team and prepare weekly cash flow forecast for management review. - Prepare monthly operational cost review and analysis...
- A cash controller, also known as a treasury controller or a treasury analyst, is responsible for managing and optimizing a companys cash flow and cash position. Their primary duties include tracking incoming and outgoing cash, reconciling bank accounts, forecasting cash...
- ...review of cash position for local accounts to ensure sufficient funds for disbursements and maintain liquidity level approved by Treasury. Identify and record receipts/create deposits for revenue application. Identify and record contributions. Initiate and select bank...
- ...Calculate withholding tax deductions for goods and cost suppliers. Prepare and deposit withholding tax into the government treasury. Generate withholding tax certificates for suppliers (cost and goods). Process withholding tax deducted by customers and ensure...
- ...variety of clients, most of them are well established brands with an international reach. Your key responsibilities Lead SAP Treasury and Risk Management (TRM) projects, including various project phases such as design, implementation, configuration, and...
- ...System Solutions is hiring a Funds Controller for its dynamic team. If you have experience in Investment Accounting (including Treasury), Fund Accounting and Client Reporting for multiple Private Credit portfolios you will be an deal candidate for this role. Moreover...
- ...Oversee the operation of cloud infrastructures hosted on AWS and PTCL environments, including key banking applications such as Treasury, eKYC, and the Contact Center. Manage overall security operations, ensuring that all systems, applications, and networks are...